A company is looking for a Senior Model Risk Analyst, Remote. ...
FanDuel is looking to add a Senior Technology Risk Analyst to its Technology Risk team to help drive our first line of defense (1LOD) technology & cyber risk management function. The Senior Technology Risk Analyst will report to the Technology Risk Manager and will play a pivotal role in evaluating ...
Fitch Ratings is seeking an Analyst/Senior Analyst to join its Structured Credit group to join our Toronto office. At Fitch Ratings, credit analysts play a pivotal role in moving markets, as quality credit analysis is the lifeblood of our organization. As one of the world's top three credit ratings ...
Quantitative Risk Analysts perform research to identify opportunities for improved risk management, investment behavior, and portfolio construction, with the goal of helping the firm deliver superior risk-adjusted performance. Point72 Asset Management is seeking a Quantitative Risk Analyst to join i...
Residential Mortgage-Backed Securities (RMBS) group is adding a Credit Analyst or a Senior Credit Analyst to its growing team. Fitch Ratings is seeking a Credit Analyst or a Senior Analyst to join the Residential Mortgage-Backed Securities Group in our New York office. This position will collaborate...
The Senior Credit Analyst is primarily responsible for partnering with Portfolio Managers, supporting the daily duties of underwriting and monitoring credit while performing analytical tasks and identifying risks or issues as needed. In addition, a successful Senior Credit Analyst will be able to dr...
As a Senior Credit Risk Manager, you will play a critical role in credit underwriting, risk management, and portfolio oversight, ensuring sound decision-making and proactive risk mitigation in financing global trade. Lead credit reviews and present risk findings to senior leadership, influencing cre...
Vice President & Senior Risk Analyst, Liquidity and Market Risk. The Company is seeking a Vice President and Senior Risk Analyst with a focus on liquidity and market risk. Applicants must have a strong background in risk management, with the ability to conduct market risk assessments and ensure that...
Supplement analysis with research and evaluations from a wide variety of sources to develop an assessment of client, competitor/ industry risks and trends for senior management and/or the Senior Credit Officer. The Credit Risk Senior Officer I is a strategic professional who closely follows latest t...
Senior Credit Analyst, you will be responsible for monitoring and optimizing our credit portfolio. You will also be responsible for creating credit policies for new initiatives and products, creating risk management strategies, and conducting ongoing testing and experimentation. This role requires t...
This role involves evaluating the creditworthiness of clients, monitoring financial trends, assisting in the management of credit risk and interacting with clients and advising them on findings. Prepare and present comprehensive credit reviews and underwriting memorandums to senior management and cr...
We provide risk consultancy, Property-Casualty insurance solutions and alternative risk transfer for a wide spectrum of commercial, corporate and specialty risks across 10 dedicated lines of business. We are looking for a Senior Financial Analyst based in Alpharetta, GA, O'Fallon, MO or New York. At...
Structured Finance – Analyst / Senior Analyst, Asset-Backed Securities. Fitch Ratings is seeking a Credit Analyst to join the Asset-Backed Securities Group in our New York and Chicago office. The analyst will join a growing team covering consumer sectors such as auto loan and lease, credit cards, an...
Prepare detailed credit analysis and credit applications in accordance with Americas Credit Policy, Americas Credit-Related Procedures, Credit Rules, and JCB Credit Operating Manual, evaluating the borrower’s industry / business / legal / financial risks and recommending extensions of credit to mana...
A NY-based Fixed Income Asset Manager is looking for a junior securitization and risk analyst for the firm's fixed-income portfolio consisting of Structured Credit (CLOs) Commercial Real Estate, and Private Credit assets. Analyze and Monitor all Commercial Mortgage Loans and Private Credit investmen...
As a member of the Risk & Regulatory Advisory team, you will advise financial institutions on a broad range of credit risk management topics including organization and governance; credit process optimization; risk rating model design, build and implementation; credit regulatory assessments; and Curr...
As a Senior Credit and Collections Analyst, you will be a critical part of the Company’s day-to-day and month-end close processes, reporting, and operational procedures. This role will report to the Credit and Collections Manager. Work with the invoicing team to resolve billing disputes and credit n...
You will be responsible for developing analytical reports for existing and potential clients for senior management, using the bank credit and risk strategy guidelines to make an accurate assessment of the borrowers' credit, management, operational and financial status. Prepare detailed and accurate ...
Overview:Within CUSO Risk department, the Credit Risk Loan Review Unit is responsible for ensuring an independent review of the credit portfolio (Structured Finance, Corporate Loans, Leveraged Finance, Real Estate, Trade Finance etc. This review covers the quality and completeness of the credit anal...
As a member of the Risk & Regulatory Advisory team, you will advise financial institutions on a broad range of credit risk management topics including, organization and governance; credit process optimization; risk rating model design, build and implementation; and Current Expected Credit Losses (CE...
The Counterparty Credit Risk Senior Application Developer position is a senior role that will interface closely with Quant and Front Office technology teams to integrate pricing models and workflow enhancements within the ACE application. The Analytical Calculation Engine (ACE) Development Team is a...
Develop, implement, and maintain Financial and Balance Sheet Risk Management framework to include the identification, assessment, measurement, simulation and management of funding and liquidity risk, investment risk, market and interest rate risk, capital risk, GAAP accounting risk, and earnings and...
Relevant experience in the financial services industry with either a consulting firm, internal consulting organization, or within front office or market risk, counterparty risk, or related areas at leading financial services institutions in the following areas: Capital markets functions Quantitative...
Prepare detailed credit analysis and credit applications in accordance with Americas Credit Policy, Americas Credit-Related Procedures, Credit Rules, and JCB Credit Operating Manual, evaluating the borrower’s industry / business / legal / financial risks and recommending extensions of credit to mana...
Evaluate enterprise-wide assessments in TPRM, BSA/AML, CRCA, Risk ID, Operational Resilience, to tie critical data points to establish a holistic view of SBUS operational risk. Build a non-regulatory risk and control inventory that will combine multiple assessments, including Operational Resilience ...