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Risk, Regulatory, Prudential & Compliance. Provide financial oversight for managed risk, high innovation and growth by understanding the financial and business metrics and incorporating these into the design and positioning of well researched and holistic learning solutions with data and trends that inform learning content, methods and delivery.
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Reporting to the Head of Equities Risk & Controls, the role will focus on leading and strengthening the Americas Equities Supervisory controls framework as well as ensuring consistency with firm-wide standards and regulatory expectations with Prudential Bank Regulations.
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As a Senior Data Scientist on the Corporate Functions Data Science team, you will partner with our diverse team of Engineers, Economists, Computer Scientists, Mathematicians, and Lawyers to design, build, and manage cutting-edge technology for transforming Risk, Compliance, and Legal functions throughout the enterprise.
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Knowledge of regulatory rules (LCR, NSFR, Enhanced Prudential Standards, Liquidity Stress Testing), is highly preferred. Minimum 3+ years of experience in large or growing Financial Institutions with specific experience in liquidity risk management.
Full-timeExpandApply NowActive JobUpdated 3 days ago - UpvoteDownvoteShare Job
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Prudential is a multinational financial services leader with operations in the United States, Asia, Europe, and Latin America. As a Vice President – Corporate Functions Data Science Lead, you will partner with leaders in Human Resources, Risk, Compliance, and Legal to develop cutting-edge AI solutions that drive employee recruitment and engagement, predict and mitigate risk, and transform legal and compliance processes.
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Global Regulatory Policy Manager – Liquidity covers a number of key aspects of prudential interpretation, including risk weighted assets (RWAs), capital resources, and the leverage ratio, across a full range of risk areas e.g. credit risk, counterparty credit risk, liquidity risk, securitisation, market risk, etc.
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Provide expertise for regulatory remediation and implementation across Equities business, with a focus on Prudential Bank Regulations (K, O, W) Advise on control requirements and control standards appropriate for these prudential regulations to mitigate risks to the firm and drive control efficiency and optimization.
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Business Risk Management, Business Risks, Credit Analysis, Enterprise Reporting, Enterprise Risk Management (ERM), Fraud Risk Management, Investment Economics, Investment Management Systems, Investment Risk, Investment Risk Management, Long Term Planning, Market Risk, Operational Risks, Operation Risk Management, Project Management, Quantitative Methods, Risk Control, Risk Management, Risk Reporting.
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Previous exposure to Prudential Reports, CCAR, Basel or Country Risk. Key partners including the Business, Markets Transformation, Chief Data Office (CDO), Capital Planning, Enterprise Technology Services (ETS), Corporate Regulatory Reporting (CRR) and Finance and Risk Senior Management.
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Our divisions include behavioural risk, compliance, credit, financial crime risk, internal audit, market risk, operational risk and governance, prudential risk, and Risk Management Group central.
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Job Classification: Actuarial - Actuarial The Actuarial Valuation & Projections team serves multiple stakeholders across the enterprise by supporting valuation and financial reporting requirements for US GAAP, US STAT, and risk management.
$156,100 - $211,100 a yearFull-timeExpandApply NowActive JobUpdated 4 days ago - UpvoteDownvoteShare Job
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Professional certifications such as FRM (Financial Risk Manager) or PRM (Professional Risk Manager) are a plus. As a Senior Financial Analyst specializing in financial risk management, you will be responsible for overseeing and challenging risks related to liquidity, investment portfolios, asset and liability management, and capital.
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Strong technical working knowledge of the prudential regulatory capital rules relating to the calculation of regulatory capital resources, RWAs, and the leverage ratio, with an emphasis on Market Risk RWAs and Market Risk Covered Positions.
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Direct experience supporting front office end-users (PM, Quant, Risk) and sound understanding of capital markets within Fixed Income. Direct experience supporting front office end-users (PM, Quant, Risk) and sound understanding of capital markets within Fixed Income.
ExpandApply NowActive JobUpdated 6 days ago - UpvoteDownvoteShare Job
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Our divisions include behavioral risk, compliance, credit, financial crime risk, internal audit, market risk, operational risk and governance, prudential risk, and Risk Management Group central.
$270,000 - $370,000 a yearFull-timeExpandApply NowActive JobUpdated 3 days ago
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