• Senior Manager, Structural Market Risk

    BMO Financial Group (Milwaukee, WI)
    …and optimization of the structural market risk measurement, reporting and risk management processes, including hedging strategies + Lead responses to ... more
    BMO Financial Group (04/12/25)
    - Save Job - Related Jobs - Block Source
  • Sr. Lead Analyst, Commodity Risk

    Chick-fil-A (Atlanta, GA)
    …activities support CFA and our sourcing leads via commodity analysis & hedging activities. Further, we lead the capacity & contingency planning (CapCon) practice ... more
    Chick-fil-A (01/18/25)
    - Save Job - Related Jobs - Block Source
  • Commercial Risk Analyst

    Marathon Petroleum Corporation (Findlay, OH)
    …and reporting market risk as it relates to commercial trading and hedging activity as well as by performing financial analysis and reporting. The role is ... more
    Marathon Petroleum Corporation (04/10/25)
    - Save Job - Related Jobs - Block Source
  • Senior Risk Manager, Global Markets

    Citizens (Boston, MA)
    Description The Senior Risk Manager, Global Markets is a key role on the Commercial Banking Risk team, which is a front-line unit risk function. The Senior ... more
    Citizens (04/13/25)
    - Save Job - Related Jobs - Block Source
  • Quantitative Analyst, Risk Analytics

    Constellation (Chicago, IL)
    …commercial teams, and the finance group. Examples include alternative commodity hedging strategy assessment, standard product risk premium pricing matrix ... more
    Constellation (04/12/25)
    - Save Job - Related Jobs - Block Source
  • Manager, Structural Market Risk

    BMO Financial Group (Chicago, IL)
    _Are you ready for an exciting new opportunity in interest rate risk management? Be a part of this growing team working on a high profile project and have the unique ... more
    BMO Financial Group (03/05/25)
    - Save Job - Related Jobs - Block Source
  • Treasury Manager

    The Coca-Cola Company (Atlanta, GA)
    …effects on foreign currency and other markets. + Formulate, present, and implement risk management strategies using financial hedge instruments such as spot, ... more
    The Coca-Cola Company (04/02/25)
    - Save Job - Related Jobs - Block Source
  • Summer Intern - Financial Risk

    Equitable (New York, NY)
    …company's risk exposure on c. $100bn general account investment portfolio, capital market risk related to the hedging programs. As an integral part of the ... more
    Equitable (02/06/25)
    - Save Job - Related Jobs - Block Source
  • Analyst, Energy Marketing & Trading

    LS Power Development, LLC (New York, NY)
    …asset market and trading activities, analysis of and certifications related to hedging and trading opportunities. The ideal candidate will have a strong ... more
    LS Power Development, LLC (02/11/25)
    - Save Job - Related Jobs - Block Source
  • Sr. Financial Risk Analyst

    ALBEMARLE (Charlotte, NC)
    …delivering the appropriate finance solutions to our businesses. The Sr. Financial Risk Analyst has broad responsibility that includes providing support for FX, ... more
    ALBEMARLE (04/17/25)
    - Save Job - Related Jobs - Block Source
  • Citi Commercial Bank -Institutional Credit…

    Citigroup (Getzville, NY)
    …critical component of Citi's First Line of defense for wholesale and counterparty credit risk (CCR) management. ICM works with the CCB and Independent Risk teams ... more
    Citigroup (01/21/25)
    - Save Job - Related Jobs - Block Source
  • Vice President, Global Markets

    BMO Financial Group (Chicago, IL)
    …Corporate Sales and Structuring team that provides a markets-based suite of risk management solutions through derivative products with the bank's US Commercial ... more
    BMO Financial Group (04/16/25)
    - Save Job - Related Jobs - Block Source
  • Derivatives Portfolio Analyst

    Regions Bank (Birmingham, AL)
    …Investment Portfolio within Corporate Treasury is managed to generate appropriate risk adjusted returns for the bank while facilitating asset/liability, capital, and ... more
    Regions Bank (04/04/25)
    - Save Job - Related Jobs - Block Source
  • Mortgage Secondary Market Trader

    First Horizon Bank (Plano, TX)
    …and executes hedging and pool trading transactions * Manages and monitors hedge performance by reviewing reports to mitigate risk while providing accurate ... more
    First Horizon Bank (03/18/25)
    - Save Job - Related Jobs - Block Source
  • Trader

    Citigroup (New York, NY)
    …for its New York, NY location. Duties: Plan and strategize to reduce risk , increase return, and preserve Citi's capital, the latter being the primary objective ... more
    Citigroup (03/07/25)
    - Save Job - Related Jobs - Block Source
  • Principal Risk Management Specialist, SG-29

    New York State Civil Service (New York, NY)
    …of the experience must have been in analyzing and managing the trading, underwriting, hedging , or risk management of capital markets instruments by banks or ... more
    New York State Civil Service (04/17/25)
    - Save Job - Related Jobs - Block Source
  • Manager- Risk Management

    American Express (New York, NY)
    …assumptions, reporting, **_governance,_** and controls, providing oversight across interest rate risk **_(IRR)_** management, FX hedging , and investment risk ... more
    American Express (04/12/25)
    - Save Job - Related Jobs - Block Source
  • Model Risk Associate

    SMBC (New York, NY)
    …data. Analyze structured and unstructured data and create loss models for credit risk . Develop and manage a robust data capture to support analysis and reporting ... more
    SMBC (04/12/25)
    - Save Job - Related Jobs - Block Source
  • Associate - US Non-Trading Market Risk

    TD Bank (New York, NY)
    …Charlotte, North Carolina, United States of America **Hours:** 40 **Line of Business:** Risk Management **Pay Detail:** $100,000 - $120,000 USD TD is committed to ... more
    TD Bank (04/02/25)
    - Save Job - Related Jobs - Block Source
  • Energy Risk : Lead Financial Analyst,…

    Grant PUD (Ephrata, WA)
    …Summary** The Power Portfolio Strategy business unit's Lead Financial Analyst - Energy Risk (LFA-ER), leads Grant PUD's energy risk management activities. The ... more
    Grant PUD (04/01/25)
    - Save Job - Related Jobs - Block Source