- Citigroup (New York, NY)
- Equities Supervisory Risk and Control position supports a trading and sales environment in relation to US Regulatory Rules as defined by FINRA and the ... more
- Wells Fargo (Lake Oswego, OR)
- …for Supervisory Control **Required Qualifications:** + 4+ years of Supervisory Control , Risk Management Consulting, Property or Casualty Insurance, ... more
- HSBC (New York, NY)
- …our people, our investors, our communities and the planet we all share. As our Equities Non-Financial Risk Officer, you will oversee the non-financial risk ... more
- Wells Fargo (Naples, FL)
- …Supervision Managers, and varying Business Units **Required Qualifications:** + 2+ years of Supervisory Control , Corporate Insurance Risk , Risk ... more
- Wells Fargo (Marlton, NJ)
- …Supervision Managers, and varying Business Units **Required Qualifications:** + 2+ years of Supervisory Control , Corporate Insurance Risk , Risk ... more
- Wells Fargo (Minneapolis, MN)
- …Supervision Managers, and varying Business Units **Required Qualifications:** + 2+ years of Supervisory Control , Corporate Insurance Risk , Risk ... more
- Federal Aviation Administration (Huntington, WV)
- …and Certified Professional Controllers. Responsibilities Supervises a staff of Air Traffic Control Specialists that is responsible for carrying out air traffic ... more
- Federal Aviation Administration (Salt Lake City, UT)
- …Responsibilities Directs a highly technical workforce that provides either air traffic control services and/or tactical and strategic support. The work impacts the ... more
- Federal Aviation Administration (Abilene, TX)
- …integrated teams of operational and support personnel, that provides air traffic control services throughout a geographic area. The work impacts the safe, orderly, ... more
- Citigroup (New York, NY)
- …central initial point of escalation. + Support efforts to embed an effective supervisory control framework that fully meets Audit, Compliance and Regulatory ... more
- Mizuho Corporate Bank (New York, NY)
- …trading or research (including corporate bonds, securitized products, treasury auctions, equities , electronic and program trading, equity research, sales, ... more
- JPMorgan Chase (San Francisco, CA)
- …thorough investigation and provide resolution. This involves Compliance, Legal, Portfolio Management Risk Management & Control along with Senior Management in ... more
- JPMorgan Chase (Chicago, IL)
- …products and solutions to meet their generational wealth management needs. As a Supervisory Manager in JP Morgan Wealth Management, you will exhibit leadership and ... more
- Federal Aviation Administration (Honolulu, HI)
- …individual performance, and available funding. Serves as a front line Supervisory Airway Transportation Systems Specialist (SATSS), for a Systems Support Center ... more
- Scotiabank (New York, NY)
- …with the requirements of US compliance procedures. + Coordinate with Internal Control on compliance risk assessments, independently conduct the effective ... more
- JPMorgan Chase (Plano, TX)
- …Chase Corporate Control Management Organization, reporting to the Firmwide Compliance risk Assessment Program Lead. As a Firmwide Compliance Risk Assessment ... more
- Mizuho Corporate Bank (New York, NY)
- …of relevant work experience, including in internal auditing or external auditing, risk management, supervisory examinations, or their equivalent. Demonstrates a ... more
- First Horizon Bank (Starke, FL)
- …Consumer portfolio is weighted heavily toward real estate based loans (Mortgage and Home Equity ). The Consumer Credit Risk Model Manager leads a small team of ... more
- Vanguard (Charlotte, NC)
- …effectiveness of development, testing and implementation processes for security plans, risk assessments, products, and control techniques. Conducts system ... more
- Vanguard (Malvern, PA)
- …and maintains strong relationships with key stakeholders. + Implements and manages risk and control standards within Personal Investor's processes. Identifies ... more