• Senior Market Risk Manager

    MUFG (New York, NY)
    …our recruitment team will provide more details. **Job Summary:** This role is for a Senior Market Risk Manager , located in New York, covering the market ... Rates , FX and Secured Financing businesses. **Major Responsibilities:** + Provides Market Risk oversight for Rates , FX and Secured Financing businesses… more
    MUFG (12/11/24)
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  • Market Risk Manager

    Mizuho Corporate Bank (New York, NY)
    …of new products. Qualifications + 8+ years of experience in market risk management required. + Proven experience in Rates and FX derivatives required. ... Summary As an experienced Risk Manager , you will be responsible...address limit excesses, quantification of usage, as well as risk appetite concerns. + Produce commentary detailing market more
    Mizuho Corporate Bank (02/13/25)
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  • Senior Quantitative Market Risk

    MUFG (New York, NY)
    …(MRMD) primarily covering valuation models ( Rates , FX, Fixed Income products), Market Risk models and stress testing. **Major Responsibilities** : + Model ... manager role within the MUFG Americas' Risk Analytics Team within the Market ...Rates /Foreign Exchange/Fixed Income valuation models, XVA, SIMM, and Market Risk methodologies + Participate/lead in the… more
    MUFG (02/21/25)
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  • Manager - Risk Management,…

    American Express (New York, NY)
    …across balance sheet management areas, including funding and liquidity risk , market risk , and capital management. The Manager /Sr Manager - Market ... of market risks. **Key Responsibilities** + Identify, analyze, and quantify market risk exposures across interest rates , FX, and investments. + Implement… more
    American Express (02/12/25)
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  • Business Risk and Control Group…

    Citigroup (Getzville, NY)
    risk related matters across functions and products. **Job Purpose:** The **Business Risk and Control Group Manager ** reports into the Head of the newly ... responsible for assisting in the proactive management of operational risk and remediation of control issues, Manager 's...control disciplines would be a plus - credit, and market . + Strong risk management and control… more
    Citigroup (01/15/25)
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  • Business Risk and Control Group…

    Citigroup (New York, NY)
    ** Risk Analytics Business Risk and Control Group Manager - C14** **Organization Overview:** Citi Markets Operations is currently at a pivotal point in its ... Markets products and services including: + Fixed Income (FX, Rates , Credit, Muni, Cash and Derivatives) where Citi is...products. **Job Purpose:** The ** Risk Analytics Business Risk and Control Group Manager ** will report… more
    Citigroup (01/07/25)
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  • General Manager , Commercial Risk

    The Cigna Group (Chattanooga, TN)
    …over $7B of revenue annually with gross margin of approximately $1B. The General Manager of Stop Loss will be responsible for protecting and growing this business ... stop loss strategy development, maximizing Cigna's ability to assess risk , working with medical and Rx solution leads to...solution leads to deliver high cost claim solutions to market that drive integrated client value, and presenting innovative… more
    The Cigna Group (02/18/25)
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  • EFR Global Markets Risk Manager

    Bank of America (New York, NY)
    EFR Global Markets Risk Manager Charlotte, North Carolina;Jersey City, New Jersey; New York, New York; Chicago, Illinois **Job Description:** At Bank of America, ... grow, and make an impact. Join us! **D** **epartment Overview:** Enterprise Financial Risk (EFR) seeks to deliver effective independent risk management of the… more
    Bank of America (02/11/25)
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  • Audit Manager II - Financial Risk

    TD Bank (Charlotte, NC)
    …all the requirements of the job and resides on the East Coast. The Audit Manager II for the Financial Risk Management team is accountable for overseeing the ... **Preferred Qualifications:** + CFA and/or FRM certification + Second line defense over market , liquidity or capital risk \#LI-AMCBCorporate **Who We Are:** TD… more
    TD Bank (02/18/25)
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  • Fixed Income Rates Trader

    Vanguard (Malvern, PA)
    …to invest cash flows across markets and act as portfolio manager with a risk controlled level of discretion. + Performs market and risk analysis for ... Fixed Income Global Bond Index Team. This is a risk -taking and risk management role with significant...analysis and relays relevant information to the appropriate portfolio manager for action. Acts as a liaison with outside… more
    Vanguard (02/15/25)
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