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In addition, the team oversees the key risk management methodologies and calculations, including CECL and IFRS9 for credit reserves, and Basel Advanced RWA. Experience with Interest Rate Risk and Banking Book products (deposits, loans, debt, investments, derivatives, etc.
ExpandApply NowActive JobUpdated 8 days ago - UpvoteDownvoteShare Job
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We support an extensive range of Capital Markets products and services including Fixed Income (FX, Rates, Credit, Muni, Cash and Derivatives) where Citi is consistently a dominant top 3 player in the market, Equity (Cash, Derivatives, Prime Brokerage, Futures, Listed Derivs, FXPB) where Citi has a significant growth program to continue to build out its capabilities and services; and Syndicates where we support both FI and EQ new issues and IPOs.
$55,440 - $77,360 a yearFull-timeExpandApply NowActive JobUpdated 14 days ago - UpvoteDownvoteShare Job
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They will accept Commercial Banking, Retail, Wealth Management, THEY WILL ACCEPT ANY KIND OF BANKING (Commercial, Retail, Wealth Management) EXCEPT INVESTMENT BANKING (Not FX, derivatives, fixed income, trading, risk, front, middle, back office.
Full-timeExpandApply NowActive JobUpdated 3 months ago - UpvoteDownvoteShare Job
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Our products include debt and equity financing, mergers & acquisitions, institutional equity sales, trading and research, fixed income products, derivatives, energy, and foreign exchange. 2025 Corporate Banking Summer Analyst, New York City May to August 2025 Location: New York City Deadline to Apply: April 1st at 11:59 PM EST Who We Are: Scotiabank Global Banking & Markets provides a full range of investment banking, credit and risk management products and services relevant to the financing and strategic development needs of our clients.
InternExpandApply NowActive JobUpdated 29 days ago - UpvoteDownvoteShare Job
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The focus of this role is to research, create and deploy high quality quantitative strategies across systematic corporate bond and credit derivatives strategies. The firm is looking to make a Credit Quantitative Research hire into either its New York or Chicago office to work alongside a highly regarding Systematic Credit Portfolio Manager who recently joined the fund.
Full-timeExpandApply NowActive JobUpdated 1 month ago - UpvoteDownvoteShare Job
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In-depth experience of the risk assessment and quantification of traditional (i.e. swaps, options and futures) and structured derivatives as well as monitoring of the related counterparty exposure and understanding of relevant documentation including ISDA/CSA.
$165,000 - $248,000 a yearFull-timeExpandApply NowActive JobUpdated 2 months ago - UpvoteDownvoteShare Job
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Able to understand and assess risk of standard bank products such as loans, stand-by LC, trade finance, forex, derivatives, and securitization. Junior Corporate Credit Risk Professional supporting commercial lending & investment banking business primarily to US subsidiaries of Japanese corporate customers.
$80,000 - $95,000 a yearFull-timeExpandApply NowActive JobUpdated Yesterday - UpvoteDownvoteShare Job
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Having a solid understanding of reference data & pricing for derivatives, interpreting Greeks for options and credit and default risk numbers is a plus. This investigation includes but is not limited to a criminal, civil litigations and regulatory review, employment, education, and credit review (role dependent.
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Proficient working knowledge of global derivativesregulation, including Dodd-Frank and EMIR, is strongly preferred, alongwith knowledge of documents including the Master Agreements and Schedulesdeveloped by the International Swaps & Derivatives Association (ISDA),ISDA Credit Support Annexes, trade confirmations, clearing agreements,loan agreements, and other related trade documentation.
$250,000 - $290,000 a yearFull-timeExpandApply NowActive JobUpdated 8 days ago - UpvoteDownvoteShare Job
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Strong understanding of how capital markets firms operate across the trade life cycle (e.g., derivatives, securities) and corporate functions (e.g., product control, finance & regulator reporting, market/credit risk, compliance, etc.
$171,700 - $261,500 a yearFull-timeExpandApply NowActive JobUpdated Yesterday - UpvoteDownvoteShare Job
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The Private Wealth Management team is a specialist group within Credit that maintains primary responsibility for (i) managing loan and derivatives transactions for new and existing counterparties of Private Wealth Management, and (ii) evaluating and monitoring ongoing exposure levels for existing counterparties.
Full-timeExpandApply NowActive JobUpdated 3 months ago - UpvoteDownvoteShare Job
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The Corporate Derivatives desk helps corporations and financial sponsors address macro market exposures across interest rates, foreign exchange, commodities, inflation and credit derivatives.
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On-site Credit Union and ATM (Corporate office only) Understanding of commodity derivatives and application of accounting principles. Active Certified Public Accountant (CPA) preferred.
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Real Estate Investment Trust (REIT), Private Equity, Global Macro, Fixed Income, Mortgage, Credit, Distressed, Long/Short, Risk/Stat/Arbitrage, Emerging markets and Fund of Funds. Real Estate Investment Trust (REIT), Private Equity, Global Macro, Fixed Income, Mortgage, Credit, Distressed, Long/Short, Risk/Stat/Arbitrage, Emerging markets and Fund of Funds.
$90,000 - $120,000 a yearFull-timeExpandApply NowActive JobUpdated 2 months ago - UpvoteDownvoteShare Job
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Initiate on-boarding of International Swaps and Derivatives Association (ISDA) agreements and negotiate Credit Support Annex (CSA) thresholds. Monitor Bloomberg, Standard & Poor’s (S&P), Collateralized Loan Obligation (CLO), Moody’s, Fitch Ratings and/or Dun & Bradstreet and credit default swaps (CDS.
$92,660 - $139,000 a yearFull-timeExpandApply NowActive JobUpdated 6 days ago
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