Risk Management Manager Jobs In Market
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| Search results: 1 - 10 of 632 |
Manager Member Credit Risk (70) | 100% |
Federal Home Loan Bank of Chicago. Boston
Position Summary The Manager Member Credit Risk manages the member credit analysis function (including advances underwriting and approval); the vendor and service provider credit analysis function; credit risk management aspects of the Bank’s asset purchase programs; credit and collateral policies and risk analysis processes for collateral (including collateral discounts and...
Date posted: 01/18/2012.
| Sector | Asset Management |
| Sub Sector | Insurance |
| Region/Country | Americas, United States |
Risk Management - Regulatory Risk Manager (00131515) | 84% |
Accenture. London
Role: Regulatory Risk Manager Location: London Travel: 50% Salary: £80,000 - 120,000 Benefits Closing Date: 1/07/2012 Description Accenture's risk management professionals work with organizations across all industries to design and develop integrated risk-related solutions that are closely aligned with business functions-helping companies better identify, manage and mitigate risks and make...
Date posted: 01/26/2012.
| Sector | Asset Management |
| Sub Sector | Insurance |
| Employment Type | Full Time |
| Region/Country | Europe, UK |
Market Risk Developer (CVA P&L and Risk Management) : 1200001236 (1200001236) | 58% |
Bank of America. NEW YORK
General Description: Responsible for developing, enhancing, modifying and/or maintaining applications in the Front Office environment. Software developers design, code, test, debug and document programs. Associates work closely with business partners in defining requirements for system applications. Associates are expected to have in-depth capital markets product knowledge, and manage a high.
Date posted: 02/09/2012.
| Sector | Asset Management |
| Sub Sector | Other |
| Region/Country | Americas, United States |
Functional Services Specialist Front Arena (17964) | 57% |
SunGard. Kungsbron 2
Position Description Job description We are looking for a candidate with a keen interest both in the financial markets, software for trading, risk management and technology solutions... The main responsibility of the Functional Services Specialist is to supply customers with expert advice and analysis of problems related to the use.
Date posted: 01/12/2012.
| Sector | Asset Management |
| Sub Sector | Traditional Asset Manager |
Functional Services Specialist Front Arena (17921) | 57% |
SunGard. Kungsbron 2
Position Description Job description We are looking for a candidate with a keen interest both in the financial markets, software for trading, risk management and technology solutions... The main responsibility of the Functional Services Specialist is to supply customers with expert advice and analysis of problems related to the use.
Date posted: 01/12/2012.
| Sector | Asset Management |
| Sub Sector | Traditional Asset Manager |
| Employment Type | Full Time |
Business Analyst-Risk Management (18202) | 53% |
SunGard. IN-Pune
Position Description • Discuss with Product management team/customer and define detailed requirements documents and functional specifications • Guide the developers and testers and provide functional inputs as required • Perform test cases reviews to ensure that the coverage is sufficient and business perspective is maintained in the system testing... •.
Date posted: 02/08/2012.
| Sector | Capital Markets |
| Sub Sector | Unspecified |
| Employment Type | Full Time |
| Region/Country | Asia / Pacific, India |
Risk Controls Manager (00048127) | 52% |
Barclays Bank. London
Risk Controls Manager We have opportunities in this role in London or Leeds... Help keep us, and our customers, safe Our UK Retail Banking (UKRB) business has been voted as the fairest bank in the UK. It was ranked among the best banks in most measures and scored highest in.
Date posted: 02/08/2012.
| Sector | Asset Management |
| Sub Sector | Traditional Asset Manager |
| Region/Country | Europe, UK |
Market Risk Manager (F04RM-MARRISMGR) | 52% |
Bank of China. Hong Kong
Perform treasury and market risk exposure monitoring and to conduct financial product assessment Responsible for the development and validation of Value-at-Risk model Participate in the development and validation of pricing models and also financial product development project Assist in the management of the risk model implementation project to ensure Basel...
Date posted: 02/08/2012.
| Sector | Asset Management |
| Sub Sector | Unspecified |
| Region/Country | Asia / Pacific, China |
Sr. Developer (Core Risk Technology) : 1200005649 (1200005649) | 51% |
Bank of America. NEW YORK
Responsible for developing, modifying and/or maintaining applications in the Front Office environment. Software developers design, code, test, debug and document programs. Associates work closely with business partners in defining requirements for system applications. Associates typically have in-depth knowledge of development tools and languages. Associates are expected to have in-depth capital.
Date posted: 02/09/2012.
| Sector | Asset Management |
| Sub Sector | Other |
| Region/Country | Americas, United States |
Core Risk Technology Developer : 1200001232 (1200001232) | 51% |
Bank of America. NEW YORK
General Description: Responsible for developing, enhancing, modifying and/or maintaining applications in the Front Office environment. Software developers design, code, test, debug and document programs. Associates work closely with business partners in defining requirements for system applications. Associates are expected to have in-depth capital markets product knowledge, and manage a high.
Date posted: 02/09/2012.
| Sector | Asset Management |
| Sub Sector | Other |
| Region/Country | Americas, United States |