these qualities. Financial Services Risk Management Advisor, FSRM (Traded Products Risk & Capital) - Financial Services... them with their risk and capital management challenges. Traded products continue to be a focus for our clients as a result...
that market risk for CIBC’s US Equity Derivatives business is completely captured, quantified and controlled. The role... and risk management of complex derivatives. This position interfaces with traders, treasury, operations, financial control...
its potential for society. Job Description Are you ready to take your expertise in credit risk to the next level? Join Talan..., a global leader in financial services! We are hiring a skilled Credit Risk Officer to focus on Commercial Real Estate lending...
of benefits to its employees. Role Description The Trading Risk & Control group in Capital Markets is seeking a highly... and Skills Undergraduate or Master's Degree in Financial Engineering, Finance, Computer Science or related quantitative...
and strategic events. Also, encompassing Risk Governance functions such as risk appetite etc. Quantitative Risk Control: The... will provide more details. Summer Analyst Program Overview: (6/1/2026 ~ 8/7/2026) The Risk Management Summer Analyst Program...
the head of department in overseeing the front-line business units’ liquidity risk and interest rate risk management..., ensuring the Bank’s risk exposure adheres to the risk appetite statement as defined in the risk governance framework...
Industry/Sector Banking and Capital Markets Specialism Financial Risk Management Level Manager... Job Description & Summary A career in our Balance Sheet Management practice, within Financial Risk and Regulatory services, will provide...
is essential. Qualifications: Advanced Degree in a quantitative discipline Model risk management knowledge, including model... structure, including the firm's governance processes, controls, and risk management to raise awareness of control risk...
of Capital Markets Operational Risk and Resilience strategy, risk and control, governance, and regulatory initiatives through the... for operational risk and resilience end-to-end across Capital Markets. Documenting new or existing processes and improving existing...
audits, including scoping, risk assessment, control testing, and reporting. Review quantitative models to identify risks... a positive risk culture and continuous improvement. Qualifications: Master's degree in a quantitative field (e.g...
the head of department in overseeing the front-line business units’ liquidity risk and interest rate risk management..., ensuring the Bank’s risk exposure adheres to the risk appetite statement as defined in the risk governance framework...
Description A leading international bank is looking for a seasoned Model Risk Audit Manager with over 8 years... include managing audits from planning to reporting, validating model risk management practices, and maintaining...
Job Description: Divisional Overview The Risk Division is a team of specialists charged with managing the firm...'s credit, market, liquidity, and operational risk. Whether assessing the creditworthiness of the firm's counterparties...
of work within the team/project. Responsibilities: Monitor CBNA and U.S. interest rate risk metrics and work closely... with the Asset/Liability Management team within Citi Treasury and Citi Market Risk Management to understand the drivers...
Risk Management Vice President This position sits within the Enterprise Risk Management of SMBC's Risk Management... Department, which is the 2nd line of defense independent risk management function for the bank. As a Sustainability and Climate...
and define your own path. Find your place in risk and analytics on #TeamAmex. American Express has a network that connects... for all its constituents. Our Global Merchant Network Services (GMNS) Risk Management Team stands behind each of these purchases...
A leading quantitative hedge fund is hiring a Quantitative Risk Analyst to join a cross-functional team that oversees... systematic trading models at the firm. This is not a traditional risk role - it's a unique opportunity to work cross...
A leading quantitative hedge fund is hiring a Quantitative Risk Analyst to join a cross-functional team that oversees... systematic trading models at the firm. This is not a traditional risk role - it's a unique opportunity to work cross...
, other CMRM Risk colleagues and core strategic business units (SBUs) to produce key reports and metrics for senior leadership... and regulators to measure and validate CIBC’s structural interest rate and liquidity risk posture. This function will provide...
of benefits to its employees. Role Description The Trading Risk & Control group in Capital Markets is established under Sales... and comprehend the impact of on the portfolios. Deep understanding of interest rates derivatives valuation and market risk...