Experience as an IT BA – working on Risk and compliance Domain. Atleast 6 Years of experience as an IT BA – working on Risk and compliance Domain. ...
Job Title: Enterprise Risk Business Analyst. Extensive Risk Management experience preferably Enterprise Risk. Work across lines of business and teams to minimize risks and drive efficiency for solution. In addition, any of the following will be a distinct advantage: Understanding of variety of risk ...
The Risk Business Analyst/Project Manager will be responsible for providing wide ranging and high-quality Business Analyst and Project Management services to the Firm and the global Risk Management organization, across all areas of Risk Management: measuring, quantifying, analyzing, reporting, contr...
Job Title: Market Risk Analyst. Strong Market Risk, Risk or Front Office experience. ...
ERM (Enterprise Risk Management) experience is good to have or any other Risk like Credit Risk, Market Risk experience is mandatory. Iris's client, one of the world's largest multinational investment banking and financial services corporation is looking to hire a Senior Business Analyst (ERM-Enterpr...
Experience joining relational databases and understand the business problems .Good data manipulation experience , and getting data to useable set .Story telling with data, and understanding business purpose .Please send over anyone you have that fit the criteria above....
Technology risk reviews and oversight of risks and controls. This role is within the ISG Technology In-Business Risk & Control team. Candidate will be responsible for providing control & governance oversight to identify and mitigate technology risks, and work with key stakeholders to implement solut...
Market Risk Technology is responsible for providing JP Morgan's Risk Managers with the capability to assess the financial impact of various adverse market scenarios at a firm wide level. VaR, Stress), Time Series, and Scenario Management platforms for Firmwide Market Risk which integrate with our fr...
Grow your career as a Risk Analyst with an innovative global bank in Rutherford, NJ. Extensive Risk Management experience preferably Enterprise Risk. Understanding of variety of risk types (Wholesale Credit, Market, Consumer, Operational, Reputational, Liquidity,. Work across lines of business and t...
FR&G collaborates closely with Quantitative Risk Management and the Counterparty Credit Risk teams to maintain an integrated and comprehensive approach to financial risk management at DTCC to support an effective second line of defense. Being a member of the Liquidity Risk & Stress Testing team, the...
Present to senior management, Model Risk Committee and Credit and Collateral Risk Committee. Prepare and present materials outside of routinely scheduled Credit& Collateral Risk Committee and Model Risk Committee items. Provide Collateral Risk Related Guidance:. May have occasional oversight of Coll...
This individual must possess extensive risk and controls experience as well as in-depth knowledge of processes, risks, and controls, be an amazing team player, possess meaningful program delivery experience and a proven track record of leading and executing to deliver multi-dimensional scope success...
The Risk Business Analyst/Project Manager will be responsible for providing wide ranging and high-quality Business Analyst and Project Management services to the Firm and the global Risk Management organization, across all areas of Risk Management: measuring, quantifying, analyzing, reporting, contr...
Business Analyst/ PM – Enterprise Risk. Business Analyst is accountable for providing business process and procedure expertise. The Business Analyst works closely with the Product Owner, software engineers and testers on the Scrum team to deliver on the commitments made during sprint planning. Work ...
Partner with Global Markets Financial Risk (GMFR), Global Risk Analytics (GRA) and Model Risk Management (MRM) for business requirements. Strong Market Risk, Risk, or Front Office experience. Ownership of functional design of market risk applications. Adhere to risk mitigation plan defined by corpor...
Lead Collateral Risk Modeling Analyst. Present to senior management, Model Risk Committee and Credit and Collateral Risk Committee. Prepare and present materials outside of routinely scheduled Credit& Collateral Risk Committee and Model Risk Committee items. Collateral Valuations is a functional tea...
The Risk Analyst will work in Chubb’s Enterprise Risk Management Unit (ERM) and support the SVP in a broad range of responsibilities including risk accumulation analysis of Life, Accident and Health products, credit risk monitoring and reporting, macro-economic analyses and reporting, and operationa...
These diverse offerings include products and services that help businesses and individuals protect their assets, manage risks and provide for retirement security. The Institutional Markets - Pension team is one of the top writers of complex pension risk transfer transactions in the US. Depending on ...
Deep understanding of Capital Markets with focus on Credit Risk, Market Risk or Capital calculations. ...
Grow your career as a Risk Analyst with an innovative global bank in Rutherford, NJ. Extensive Risk Management experience preferably Enterprise Risk. Understanding of variety of risk types (Wholesale Credit, Market, Consumer, Operational, Reputational, Liquidity, etc. Work across lines of business a...
Using Factor Analysis of Information Risk (FAIR) methodology, analyze technology risk scenarios modeling impact and likelihood of cyber risk events. We are actively hiring for a Cyber Risk Analyst - Remote! Join us and support CSAA IG in achieving our goals. Performs more complex work supporting imp...
As a Capital Management Derivatives Analyst within The BM&A Derivatives Team, you will take on the responsibility of generating RWA, analyzing changes from quarter to quarter, and collaborating with LOB controllers and credit officers to identify variance promoters. Perform ad-hoc quantitative impac...
Experience in Market Risk, Credit Risk, Ops risk, Basel 3, CCAR etc. Preferred Qualifications:• Atleast 8 years of experience in Market Risk, Credit Risk, Ops risk, Basel 3, CCAR etc. Job description Infosys is seeking a Risk and compliance Business Analyst in Financial services Domain. As a Consult...
As a Senior Litigation Adjuster in Risk Management, you will be responsible for managing litigation against CVS and overseeing outside counsel and national coordinating counsel defending CVS in general pharmacy, healthcare and premises lawsuits filed throughout the United States. ...
Responsible for conducting risk monitoring activities and ongoing risk assessments of FINRA members reporting to a Risk Monitoring Director. Conducts risk monitoring activities, that can include complex or elevated risk firms with guidance and minimal supervision of a Risk Monitoring Director o...