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Risk Analyst Jobs In Capital Markets

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Search results: 1 - 7 of 7

Senior Quantitative Risk Analyst ~ Capital Markets Hedging ~ Newark, NJ (CAP0000P)

100%

Prudential. Newark

The Quantitative Analysis Group is a newly formed unit reporting to the Head of Capital Markets Hedging. The focus of the group is to design and implement production models for derivatives, assets, and liabilities in support of the Capital Markets Hedging Program within the Annuities business unit. As a senior.

Sector Capital Markets
Sub Sector Other
Employment Type Full Time
Region/Country Americas, United States

Risk Analyst (74)

63%

Federal Home Loan Bank of Chicago. Boston

Position Summary Specific Responsibilities Updates risk analysis models on the appropriate frequency,... With more than $47 billion in assets, the Federal Home Loan Bank of Boston is a leading provider of wholesale funding for housing and community finance in New England serving more than 450 financial institutions across the region.

Sector Capital Markets
Sub Sector Unspecified
Region/Country Americas, United States

Internal Audit - Capital Markets, Risk Reviewer III (99988938)

6%

KeyBank. Clevel Suburbs

About Key Cleveland-based KeyCorp is one of the nation's largest bank-based financial services companies, with assets of approximately $97 billion. Key companies provide investment management, retail and commercial banking, consumer finance, and investment banking products and services to individuals and companies throughout the United States and, for certain businesses, internationally.

Sector Capital Markets
Sub Sector Other
Employment Type Full Time
Region/Country Americas, United States

Spend Review Analyst (120017864)

10%

JPMorgan Chase. Tempe-150 University Dr - Bld G / 02980

About JPMorgan Chase: JPMorgan Chase & Co. (NYSE: JPM) is a leading global financial services firm with assets of $2. 3 trillion and operations in more than 60 countries. The Firm is a leader in investment banking, financial services for consumers, small-business and commercial banking, financial transaction processing, asset management...

Sector Capital Markets
Sub Sector Other
Employment Type Full Time
Region/Country Americas, United States

Sr Market Risk Analyst, Quantitative Methods ~ Capital Markets Hedging (CAP0000W)

50%

Prudential. Newark

Prudential's Capital Markets Hedging manages market risk associated with Variable Annuity Guarantees... The group owns the analysis of key asset and liability risk measures and decision-making relative to the hedging of these risks... The Quant Methods group, within Capital Markets Hedging, is responsible for R&D, analysis, and broad strategic quantitative.

Sector Capital Markets
Sub Sector Other
Employment Type Full Time
Region/Country Americas, United States

Operational Risk Analyst - Regulatory (617796)

79%

Nomura. UK

Overview: Nomura is a leading financial services group and the preeminent Asian-based investment bank with worldwide reach. Nomura provides a broad range of innovative solutions tailored to the specific requirements of individual, institutional, corporate and government clients through an international network in 30 countries. Based in Tokyo and with regional.

Sector Capital Markets
Sub Sector Traditional Asset Manager
Employment Type Permanent
Region/Country Europe, UK

Sr Market Risk Analyst, Quantitative Methods ~ Capital Markets Hedging (CAP0000S)

50%

Prudential. Newark

Prudential's Capital Markets Hedging manages market risk associated with Variable Annuity Guarantees... The group owns the analysis of key asset and liability risk measures and decision-making relative to the hedging of these risks... The Quant Methods group, within Capital Markets Hedging, is responsible for R&D, analysis, and broad strategic quantitative.

Sector Capital Markets
Sub Sector Other
Employment Type Full Time
Region/Country Americas, United States
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