- Citigroup (Jersey City, NJ)
- …had to deliver change. + At least basic experience and knowledge of Margin / Collateral Management operational functions. + Experience participating in ... shape the prioritization of the Margin & Collateral Optimization Operations senior management agenda and...Implements a successful risk /control environment related to collateral and/or margin processes. **People & Inclusion… more
- Wells Fargo (Charlotte, NC)
- …business product lines, and multiple legal entities. Wells Fargo (WF) DCM (Derivative Collateral Management ) actions approximately 900 margin calls daily and ... Cross-train future staff members to assist and independently perform daily Derivative Collateral Management (DCM) margin responsibilities + Consistently seek… more
- Citigroup (Getzville, NY)
- …and end results. Implements a successful risk /control environment related to collateral and/or margin processes + Provides evaluative judgment based on ... functions as well as the Operations, Business and Technology environments + Strong risk management and control mindset + Provides evaluative judgment based on… more
- Citigroup (Getzville, NY)
- …end results. Oversees a successful risk /control environment related to collateral and/or margin processes + Utilizes exceptional communication and ... functions as well as the Operations, Business and Technology environments + Strong risk management and control mindset + Provides evaluative judgment based on… more
- Marex (New York, NY)
- …analysis and monitoring of market risks taken within the equities product area. + Margin models, model risk , collateral adequacy, volatility analysis, and ... on a thorough understanding of Equity markets to provides risk management oversight and analysis on the...role assists in the formulation of Marex's Customer Portfolio Margin policy, Reg-T, Cross Margin , and ongoing… more
- Morgan Stanley (New York, NY)
- …> Understanding of Credit Risk fundamentals including traded products, contractual agreements, collateral management , risk data and metrics, risk and ... Department Profile The cornerstone of Morgan Stanley's risk management philosophy is the execution of risk -adjusted returns through prudent risk -taking… more
- Clearway Energy (Scottsdale, AZ)
- …Energy Risk will reside within the middle-office function supporting the risk management of energy marketing and trading activities across Clearway's ... of renewable and conventional generation assets. This position performs both counterparty credit risk and market risk management as well as compliance… more
- Truist (Atlanta, GA)
- …review the following job description:** As a senior member of the Market & Liquidity Risk Management (MRLM) team within the Risk Management Organization ... (RMO), provide senior management with independent quantitative and qualitative assessments of risk management practices and risk levels. Have the ability… more
- Citigroup (Tampa, FL)
- …a critical component of Citi's first line of defense for wholesale and counterparty credit risk management and works with Independent Risk teams to ensure ... Portfolios and businesses, with a focus on counter-party and collateral risk to ensure the risks are...fulfil the delivery objectives for effective, accurate and timely risk management and reporting. + Partners with… more
- Citigroup (Jersey City, NJ)
- …+ Understanding of Counterparty Credit Risk an advantage - Potential Future Exposure, Margin (ISDA MNA and CSA), Collateral Haircut, Liquidity and Period of ... to users. Investigate Potential Future Exposure/EPE/EAD/RWA and related calculations for internal risk management and BASEL regulatory capital reporting based on… more
- ManpowerGroup (Charlotte, NC)
- …Cross-train future staff members to assist and independently perform daily Derivative Collateral Management margin responsibilities + Consistently seek ... to validate current mark-to-market exposures + Review and present collateral margin calls and respond the demands...with self-discipline follow up skills + Experience with Lombard Risk 's Colline Collateral Management platform… more
- Citigroup (Jersey City, NJ)
- …years' experience in a related operations role + Strong audit, risk management and control mindset + Experience in Collateral Operations and regulations ... candidate will report to the Margin & Collateral Optimization Head of Risk providing supervisory...and collaboration with Regulators as well Internal Audit, Operational Risk Management , Line Control, Compliance, and other… more
- Athene (West Des Moines, IA)
- …resolve any issues which arise + Develop and enhance a culture of prudent risk management within the team and wider organization + Manage legal-document trading ... Trading, Legal, Treasury, and Investment Accounting to support daily margin call responses and issuances and data management...incorporate new processes to mitigate risk of risk recurrence + Assist management with operational… more
- Athene (West Des Moines, IA)
- …and domestic investment banks to manage settlements associated with derivative trade events, margin requirements, cash management , and collateral . + Perform ... will have responsibilities associated with derivative middle-office trade support, collateral management , settlements and affirmations, data ...partners. + Develop and enhance a culture of prudent risk management within the team and wider… more
- Bank of America (Dallas, TX)
- …Management Clients, GWIM Custom Lending Credit Executives, GWIM Credit leadership, Risk Management and other specialist organizations to meet these ... identify and deliver credit opportunities (eg, LMA, ISBL, PCL, Custom Lending & Margin ) to Financial Advisors existing wealth management clients and prospects.… more
- JPMorgan Chase (Newark, DE)
- …in compliance with all applicable government regulations, corporate policies, and operations risk management + Possess strong skills in Excel, Word, Visio, ... delivery of the Securities Based Lending products to Wealth Management + Provide the highest level of service to...should completely outline the proposed credit structure including accurate risk rating assessment and any potential collateral … more
- Bank of America (Jersey City, NJ)
- …testing. + Apply knowledge of Futures & Options, OTC clearing business and Collateral & Margin process to accomplish business goals and ensure delivery ... + Analyze and assess risks within the domain using Risk Analysis matrix, SWOT analysis, and Brainstorming to develop...knowledge of Futures & Options, OTC clearing business and Collateral & Margin process to accomplish business… more
- T. Rowe Price (Baltimore, MD)
- …3+ years of ETF operations experience strongly preferred + 3+ years of Derivatives/ Collateral management experience within ETFs strongly preferred + Knowledge of ... including but not limited to the overall create redeem business, collateral management , settlements, clearing, reconciliations + Knowledge of third-party… more
- Morgan Stanley (New York, NY)
- …for international clients and prospects. * Partner with Lending Product Groups, Legal, WM Risk and Credit Risk Management ("CRM") to design optimal credit ... services leader with three core businesses - Institutional Securities Group, Wealth Management , and Investment Management . Wealth Management is offered… more
- Bank of America (Charlotte, NC)
- …and trade processing, trade confirmations, settlements, trade control, reconciliations, collateral , reference data, product data, fees & billing, corporate actions, ... role provides a great potential for exposure to senior management across the company and opportunity to engage in...regulated GMO/NTCO areas. You will also be involved in risk assessments for GMO/NTCO auditable entities, issue validation, annual… more