• 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 (03/12/25)
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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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  • Risk Management - Market Risk

    JPMorgan Chase (New York, NY)
    …within the Corporate and Investment Bank Market Risk Management group. As a Market Risk Manager within the Corporate Investment Banking Market ... team at JPMorgan Chase as an Associate for our Market Risk team in New York. Reporting...background with extensive product knowledge and thorough understanding of risk managing linear rates and FX derivatives.… more
    JPMorgan Chase (03/20/25)
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  • Risk Analysis Sr. Manager

    Bank of America (New York, NY)
    …purpose, and results, and connects to team strategy, priorities and contributions. + Risk Manager : Ensures proper risk discipline, controls and culture ... Risk Analysis Sr. Manager Charlotte, North...leads bank-wide initiatives for management of all aspects of risk , including strategic, market , credit, compliance, liquidity,… more
    Bank of America (03/20/25)
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  • Front Office Rates Quant Lead - Managing…

    Wells Fargo (New York, NY)
    …optimization, and risk mitigation. Provide direction and oversight to the Rates Quant team to ensure timely deliverables to business stakeholders to support ... experience in one or more of the following areas: rates and foreign exchange + 4+ years of management...company. They are accountable for execution of all applicable risk programs (Credit, Market , Financial Crimes, Operational,… more
    Wells Fargo (03/21/25)
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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, assess, and quantify market risk exposures across interest rates , foreign exchange (FX), and debt… more
    American Express (03/12/25)
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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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  • Global Markets Risk Executive

    Bank of America (New York, NY)
    …an impact. Join us! **Job Description:** Responsible for management and direction of market risk management functions within a Product Area or several Product ... consistency of policies, procedures, analysis, monitoring and reporting of market risk for a Product Area. Additional...team contributions to business purpose, results, and success. + Risk Manager : Inspects and challenges risk more
    Bank of America (03/04/25)
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  • E-Trading Risk Management - NAM/LATAM…

    Citigroup (New York, NY)
    …Global ETRM team and reporting to the ETRM Global Head of Equities, this Risk Manager will provide leadership, guidance and independent review and challenge over ... firm with most of that activity occurring in Citi's Market trading businesses (FX, Equities, Rates , Spread...NAM and LATAM. **Key Responsibilities:** The NAM/LATAM Equities ETRM Risk Manager plays in important role within… more
    Citigroup (03/07/25)
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  • Business Risk and Control Officer, Vice…

    Citigroup (New York, NY)
    …role will be responsible for assisting in the proactive management of operational risk and remediation of control issues, Manager 's Control Assessment (MCA), SOX ... examinations are well managed with clearly evidenced controls. + Serve as partner on Manager Control Assessment (MCA) Quarterly Risk Assessment and the Annual … more
    Citigroup (02/14/25)
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  • Sr. Product Marketing Manager , US Prime…

    Amazon (New York, NY)
    …of the world's largest membership programs? As the Senior Product Marketing Manager for US Prime Growth, you'll develop data-driven strategies and creative solutions ... targeted interventions * Build and optimize testing frameworks to improve renewal rates and member satisfaction across different segments * Lead development of… more
    Amazon (02/11/25)
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  • Director, Head of FX Local Market Trading

    MUFG (New York, NY)
    …with Sales team to leverage it. **Work Experience:** Essential: + Senior experience with Emerging Market FX and IR Risk Manager in Asian Currencies + Track ... IR business. + Managing Portfolio on FX & IR Risk focusing on Asian Emerging Market Currencies...and strategic activities Preferred: + Relevant Experience in EM Rates trading + Experience in Cross assets Trading and… more
    MUFG (03/07/25)
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  • Audit Manager - Global Markets (Ficc)

    Bank of America (New York, NY)
    …role will use expertise gained auditing Global Markets or closely related areas (ie market risk management, product control or GM specific compliance or business ... Audit Manager - Global Markets (FICC) New York, New York...on FICC front line units. Lines of business include Rates , FX, Credit, Mortgages, Munis, and Commodities. BAC trades… more
    Bank of America (03/12/25)
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  • Derivatives Portfolio Manager

    Equitable (New York, NY)
    …field (Finance, Mathematics, Physics, etc.) OR CFA + 1 years of capital market experience, in derivatives hedging, trading and/or risk management + Derivatives ... Derivatives Portfolio Manager ( 2500002H ) **Primary Location** : UNITED...Hedging team manages a $100bn multi-asset derivatives portfolio (equity, rates , and credit) spanning from linear instruments (futures, total… more
    Equitable (02/14/25)
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  • Funds Transfer Pricing & Capital Attribution…

    Citigroup (Queens, NY)
    Balance Sheet Management and Non-Trading Market Risk ("BSM") Function The BSM function is a division of circa 200 professionals within Treasury and is part of ... BSM's specific responsibilities cover the following: + First Line Non-Trading Market Risk Management: analyzes, measures and defines management frameworks… more
    Citigroup (03/04/25)
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  • Private Markets Investment Manager

    New York State Civil Service (New York, NY)
    NY HELP No Agency Insurance Fund, State Title Private Markets Investment Manager Occupational Category Other Professional Careers Salary Grade NS Bargaining Unit M/C ... private markets portfolio. This position will report to the Private Markets Portfolio Manager . Responsibilities include, but are not limited to:* Design and lead the… more
    New York State Civil Service (03/05/25)
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  • Relationship Manager Business Banking Sr

    City National Bank (New York, NY)
    …staff departments to resolve issues. * Maintains awareness of competitive products, practices, rates and changes in market conditions. * Analyzes problem credits ... *RELATIONSHIP MANAGER BUSINESS BANKING SR* WHAT IS THE OPPORTUNITY?...goals and objectives, while ensuring CNB credit quality and risk management guidelines are maintained. Presents a variety of… more
    City National Bank (02/04/25)
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  • C&I Portfolio Manager

    Amalgamated Bank (New York, NY)
    The Commercial Portfolio Manager III is responsible for managing existing loan relationships in collaboration with a Commercial Banker. Portfolio Managers must have ... team, internal and external legal counsel, loan servicing department, and Credit Risk Management to generate credit authorizations (ie loan modifications, risk more
    Amalgamated Bank (02/22/25)
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  • Relationship Manager - Nonprofit…

    City National Bank (New York, NY)
    …staff departments to resolve issues. * Maintains awareness of competitive products, practices, rates and changes in market conditions. * Analyzes problem credits ... *RELATIONSHIP MANAGER -NONPROFIT & INSTITUTIONAL BANKING* WHAT IS THE OPPORTUNITY?...within delegated authority. Manages overall relationship profitability and portfolio risk and is responsible for profitable growth of the… more
    City National Bank (02/07/25)
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