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The Director of Risk Management & Compliance is a key role within the CFO's office and Finance Department, with responsibility for enterprise risk management, insurance/workers' compensation, contracts and assistance with legal affairs for Roberts Wesleyan University.
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Master's Degree or PhD in Finance, Mathematics, Physics, Engineering, Computer Science or related quantitative field with a minimum 5 years of work experience in model development, model validation, quantitative research, risk management.
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Qualifications: Bachelor’s or advanced degree, preferably in one of the following areas: Management Information Systems, Finance, Accounting, Economics or Business Administration 5+ years minimum experience in managing the implementation of complex systems for risk and compliance in the banking industry.
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Our team is responsible for determining whether the organization's model risk management, control, and governance processes, as designed and implemented by management, are adequate and functioning effectively.
$114,000 - $170,000 a yearFull-timeExpandApply NowActive JobUpdated 3 days ago - UpvoteDownvoteShare Job
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Must be familiar with a variety of Financial Institution financial concepts, practices, and procedures, including Balance Sheet Risk Management (interest rate risk, duration risk, credit risk), Profitability and Funds Transfer Pricing, Loan Analytics, and Asset Liability Management.
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Master’s degree or its equivalent in Computational Finance, Financial Mathematics, Financial Engineering, Mathematics, Statistics, or related qualitative field; plus 2 years as a Model Risk Analyst or any occupation/title providing experience in a model risk field in financial markets and leading project management in large financial services company.
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Strong quantitative and analytical skills, with an understanding of fixed income risk management and valuation methodologies. You will work closely with our portfolio managers, traders, and the Risk Management team to develop and implement quantitative risk models, analyze portfolio risk profiles, and contribute to the decision-making process.
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Senior Treasury Risk Analyst (ALM) ALM: Asset Liability Management Contract duration: 12 Months with a possibility of extension or potentially to convert full-time as well. Advise finance subsidiaries on treasury management activities, practices and procedures ensuring compliance with policies and guidelines and review and provide input on funding forecasts and associated funding programsProvide analytical support for management forums including Asset/Liability Committee (ALCO) decisions by conducting robust and comprehensive market and financial analysis to support strategy, proposals, and market transactions.
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We are looking for a passionate Actuarial Manager who will be a member of DoorDash's Corporate Risk & Insurance function within the Finance & Strategy team. As one of the newest members of Corporate Risk & Insurance, you'll have the rare opportunity to improve our data capabilities, and seek data-driven insights to inform our insurance risk management decisions.
$150,500 - $237,600 a yearFull-timeExpandApply NowActive JobUpdated Today - UpvoteDownvoteShare Job
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Submit data files to various third parties on a monthly and quarterly basis; including the Federal Reserve and Federal Home Loan Bank which provide liquidity to the credit union and for asset liability management including hedge analytics and Interest rate risk reporting.
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Analyze various risk elements of project finance transactions in Latin America, and present written executive summaries to the management of the Credit Department. SMBC is seeking a Senior Credit Officer with strong credit and quantitative skills to analyze the credit risk and various elements of project finance transactions in Latin America.
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Embedded in everything we do, risk management is key to effectively identifying, monitoring and anticipating the diverse array of risks the firm faces in serving clients and operating its global businesses, including credit risk, market risk, liquidity risk operational risk and model risk.
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Conversant in key concepts germane to load, generation, storage & energy management services, e.g. hedging, scheduling, dispatching, power-fuel coordination, bid optimization, settlements, risk management & performance tracking.
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They provide daily consistent management and oversight for all insurance functions including risk management, insurance, risk finance, captive insurance, and contractual risk transfer.
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These disciplines and capabilities include areas such as acquisition, administration, business analysis, cybersecurity, engineering, Digital Engineering, finance, integration, mission effectiveness, Nuclear Surety, Program Management, research, risk management, science, strategy development, sustaining engineering, systems engineering, system safety and security, and technical assessment.
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