The Team: Risk & Regulatory. We take a comprehensive approach to help clients navigate through internal audit, risk, and compliance activities. Conducting walkthroughs and documenting end-to-end business processes, identifying risks and key controls, using flowcharts and narratives. Execute inte...
Manager- Product Security Technical Risk Management - Remote or Hybrid. Were looking for a dynamic Manager of Product Security and Technical Risk Management whos passionate about product security and ready to take on an exciting new challenge. As a Manager, Product Security Technical Risk Management...
The US GRM-Balance Sheet Risk (US GRM-BSR) group provides independent and effective on-site monitoring, controlling and communication on the nature and extent of all material liquidity risk and banking book market risk (non-trading market risk, interest rate risk in the banking book [IRRBB]) across ...
Responsible for junior staff and talent manageme Risk, Manager, Advisor, Product Development, Business, Management, Banking, Accounting. ...
Business Process Design, Decision Making, Operational Risks, Risk Control, Risk Management, Teamwork. Assist in developing and maintaining portfolio of reporting and presentation materials to articulate the Operational Risk profile and the impact of emerging risks and new regulations to management f...
The Manager - Credit Risk Stress Testing Production position reports to the Senior Director Risk Analytics and leads the team responsible for execution the Bank’s Credit Loss stress testing efforts wholesale loss forecasting. The manger supports Bank responses to audit, model risk management and reg...
Identifying Risk - Identifies dependencies and risks within and outside the project and facilitates development of resolution strategies before the identified risks become project roadblocks. Manager Risk Analytics will be part of the Business Operations team in Enterprise Data and Analytics’ Modeli...
Collaborate with cross-functional teams, including Enterprise Risk Management (EROM), Financial Risk Management (FRM), andpliance, to address risk-related issues and implement effective controls. Develop risk management strategies and initiatives to mitigate identified risks, ensuring alignment with...
Additionally, they are responsible for ensuring the business unit is operating in alignment with enterprise guidance when executing on risk activities, including but not limited to core items like Risk and Control Self-Assessments (RCSA), Issues Management, Model Risk Management, TPRM, and Business ...
You’ll provide advice covering solvency, economic capital, risk management, mergers and acquisitions, company restructuring and risk control, financial modelling, underwriting, new legislation, and the efficiency of claims or reporting processes. SummaryA career in our Risk Modeling Services practic...
We are searching for a Cyber Risk & Compliance Senior Manager that will provide subject matter expertise on information security assurance requests for RapidScale, a Cox Business company, related to customer RFPs, contracts, or annual customer due diligence. Build consensus across boundary partners ...
This position is responsible for providing technical review to assess models and quantitative methodologies utilized to support business decisions for financial forecasting functions including capital planning and management, liquidity risk management, market risk and/or other forecasting functions ...
KPMG is currently seeking a Manager/Director to join our Advisory Services practice. Plan and execute client engagements focusing on Liquidity Risk, Liquidity Regulatory Reporting, Internal Liquidity Stress Testing, Funds Transfer Pricing (FTP) and Resolution and Recovery Planning. Minimum five year...
Build templated quantitative methodologies for climate financial risk estimation that can be leveraged on climate projects, with a focus on transition risk. ERM’s Climate Risk and Opportunity Advisory (CROA). This role will focus on quantifying the financial implications of climate risk, but there a...
The US GRM-Balance Sheet Risk (US GRM-BSR) group provides independent and effective on-site monitoring, controlling and communication on the nature and extent of all material liquidity risk and banking book market risk (non-trading market risk, interest rate risk in the banking book [IRRBB]) across ...
Risk software experience: Safran Risk/Primavera Risk/Oracle/OPC/@risk . As a Project Controls Specialist who provides Risk management services, you are responsible for managing all aspects of the risk management processes to support the capital projects for our client. Manage project risk management...
Manager, Product Security Technical Risk Management. Manager- Product Security Technical Risk Management - Remote or Hybrid. We’re looking for a dynamic Manager of Product Security and Technical Risk Management who’s passionate about product security and ready to take on an exciting new challenge. A...
The US GRM-Balance Sheet Risk (US GRM-BSR) group provides independent and effective on-site monitoring, controlling and communication on the nature and extent of all material liquidity risk and banking book market risk (non-trading market risk, interest rate risk in the banking book [IRRBB]) across ...
Serve as Engagement Manager of high risk and more complex audit engagements by planning, scoping and developing the test plan, including incorporating the use of data analytics. Develop meaningful, relevant, and well-supported audit reports that align with Truist's risk appetite framework and presen...
Quality Assurance Manager – Payer Risk Adjustment & Quality Analytics (HEDIS). Veradigm understands that managed care organizations, pharmacy benefit managers (PBMs), insurance companies, health plans, and other payers need to balance controlling costs with the goal of providing the highest quality ...
Experience in Enterprise Risk (Risk Control Self-Assessments, risk and control taxonomies, risk ratings) and/or Treasury functions including Liquidity Risk Management, Interest Rate Risk Management, Capital Management, CCAR, Investment Portfolio and Funding management. Bachelor's Degree and 6 years ...
This role functions within the RBC Bank Office of Technology Risk & Controls team which holistically is responsible for establishing, enhancing and sustaining an effective Risk and Control environment for IT in accordance with RBC Bank’s IT Risk Management Frameworks/Policies/Standards and US Regula...
Ability to negotiate contracts ensuring standard terms and conditions are included in support of the Banks risk framework. ...
The incumbent will assist with execution of first line risk management and associated deliverables for the Corporate Real Estate department, including but not limited to: Risk Control Self Assessments, management of Self-Identified Issues, MRID program, and Key Risk Indicators. This position reports...
You’ll provide advice covering solvency, economic capital, risk management, mergers and acquisitions, company restructuring and risk control, financial modelling, underwriting, new legislation, and the efficiency of claims or reporting processes. SummaryA career in our Risk Modeling Services practic...