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Global Corporation Risk Manager Risk Jobs
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| Risk Manager-100012800 (Ref: 100315-KD-11) |
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Americas, United States Wilmington | 03/15/2010 |
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Job DescriptionJPMorgan Chase is a leading global financial services firm with assets of $1.1 trillion and operations in more than 50 countries. The firm is a leader in investment banking, financial services for consumers and businesses, financial transaction processing, asset and wealth management, and private equity. Under the JPMorgan and...
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| Front Office — Equities Market Risk Developer - Associate - Based in London-100016819 (Ref: 100315-KD-09) |
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Europe, UK, England London | 03/15/2010 |
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Job DescriptionFor this role we are seeking a highly experienced developer who has in-depth knowledge and experience of Sybase ASE and/or Sybase IQ. The candidate should have a keen interest in the financial industry - market risk knowledge is an advantage. This role requires working closely with the front office risk...
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| IT Risk Americas - Head (Ref: 100310-KD-12) |
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Americas, United States | 03/09/2010 |
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Qualifications:Essential:•Degree qualified•5+ years work experience IT manager in a financial services firm•Significant experience in IT security, IT audit and/or IT risk management•Significant experience in the Investment Banking Business•Experience in relationship management for both internal and external groups and individuals at a senior level•Experience of liaising with Regulatory Authorities•Experience as a...
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| Risk Analytics and Reporting - Credit Risk Reporting Analyst (Ref: 100310-KD-04) |
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Asia / Pacific, Singapore | 03/09/2010 |
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Our Risk Analytics and Reporting division is looking for a Risk Analyst to join their Credit Risk Reporting team, to be based in Singapore. Main Duties and Responsibilities:You will be part of the Risk Analytics and Reporting - Credit Risk Reporting TeamThe primary focus is to assist in the...
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| Risk Manager 1-100003234 (Ref: 100309-KD-04) |
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Americas, United States Portland | 03/08/2010 |
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DescriptionManages, monitors, and coordinates risk management projects for commercial loan portfolios. Predicts the level of credit risk, develops policies and procedures used to evaluate and control credit risk, and maximizes profit potential and credit quality of the assigned product line. Develops, builds and maintains the analytical framework and support systems...
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| Credit Risk Analyst II - Loss Accounting Experience, FAS 114, Troubled Debt Reserves-26085 (Ref: 100304-KD-20) |
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Americas, United States Washington | 03/03/2010 |
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Description JOB INFORMATIONThis individual will play an analyst role in the Single Family allowance for loan loss estimation and loss forecast estimation process, with an emphasis on estimating the impact of modified mortgages. The first of these is a critical component of the company's financial statements while the second forms the...
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| Credit Risk Manager-26483 (Ref: 100304-KD-12) |
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Americas, United States Dallas | 03/03/2010 |
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Description THE COMPANYFannie Mae exists to expand affordable housing and bring global capital to local communities in order to serve the U.S. housing market. Today, our focus is on preventing foreclosures, making mortgages and rental housing as affordable as possible, and supporting the housing recovery. We are rapidly building and realigning...
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| Risk Architecture - ICG Risk Reporting Analyst (Buffalo, NY)-10004865 (Ref: 100303-KD-30) |
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Americas, United States Buffalo | 03/03/2010 |
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Description Department Overview:Risk Architecture is the independent group that oversees market risk. The primary objective of the risk architecture group is to establish a comprehensive and independent market risk control framework that includes defining and implementing consistent policies and procedures, developing a comprehensive market risk limit setting and monitoring capability, performing...
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| Liquidity Risk Management Senior Analyst - AVP/VP-10000031 (Ref: 100303-KD-29) |
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Europe, UK, England London | 03/03/2010 |
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Description Job Purpose: To support the Manager of the Citibank Liquidity Risk Management team in overseeing the liquidity risk management processes and controls for Western European bank chain entities and businesses and transfer pricing across EMEA. The key focus of the role is to analyse and interpret certain key liquidity risk metrics...
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| Sr Risk Analyst (Consumer Bank Risk Management, Columbus OH)-100015672 (Ref: 100303-KD-04) |
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Americas, United States Columbus | 03/02/2010 |
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Job DescriptionSenior Risk Analyst (VP / AVP) - Consumer Bank Risk Management, Columbus OH Description The Risk Analyst - Account / Portfolio Management: * Detailed account level analysis, summarized up to segments and portfolio. * Typical projects handled by the group are * Overdraft strategy * Access (a checking product) graduation...
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