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We are looking for a Portfolio Risk Manager and project leader, who has managed both successful and challenging projects throughout their career and has an appreciation for risk and opportunities as a key element for project predictability.
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Performs security research as directed by the Chief Investment Officer, Director of Portfolio Management, Portfolio Manager or per client request. The Associate Portfolio Manager is responsible for assisting with the management of client portfolios using stocks and individual bonds as well as index and equity mutual funds.
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The Manager, Portfolio Management will manage client relationships for a portfolio of loans and will collect and review financial reporting and compliance, conduct risk management, perform financial and organizational assessments, follow industry trends and risks , and respond to client needs such as requests for modifications or extensions.
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Ownership of $11 billion fixed income investment portfolio and interconnected policies to direct strategic liquidity risk and interest rate risk management. Influence enterprise-wide strategy and provide recommendations to executive leadership via ALCO on methods to hedge interest rate risk through on and off-balance sheet instruments.
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Manage operational aspects of new account onboarding, including setting up account attributes in the portfolio accounting system, data feed connectivity to the custodian, and verifying funding status.
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We have an immediate opening for a Portfolio Manager (HOA). The Portfolio Manager candidate must be able to interact and negotiate with vendors and other outside parties in a pleasant and efficient manner, prioritize, have an outgoing and positive attitude, and possess solid judgment.
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Allied HOA is looking for an experienced Community Association Manager (HOA Portfolio) to join our growing company. The Community Association Manager is responsible for oversight and execution of the day-to-day operations of a portfolio of Associations in accordance with the management agreement and as set forth in the Declaration and Bylaws to meet the objectives of the Board of Directors.
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Support corporate forecast and capital management practices including liquidity risk, interest rate risk, and capital stress testing. Collaborate with Treasurer, ALCO, and Executives, and Board of Directors on enterprise-wide strategic balance sheet management.
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Headquartered in Memphis, TN, the banking subsidiary First Horizon Bank operates in 12 states across the southern U.S. The Company and its subsidiaries offer commercial, private banking, consumer, small business, wealth and trust management, retail brokerage, capital markets, fixed income, mortgage, and title insurance services.
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The Portfolio Manager support the PMO Director in coordinating internal demand and capacity management activities, as well as establishing processes to measure and improve PMO maturity, efficiency, and value.
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The Portfolio Associate Analyst will provide support to Partner level Portfolio Analysts and the Head of the Portfolio Group on the implementation of investment advice to Albourne clients.
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The Manager, Portfolio Management is part of the Financing team providing capital and ensuring that NFF is deploying needed capital in ways that reflect our community-centered approach in a timely and expeditious manner.
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The Sr. Finance Manager, R&D Portfolio will support strategic financial analyses across short-term planning, in addition to month-end close activities and reporting execution for R&D. The position requires strategy, planning, oversight, and cross functional partnership across planning cycles along with in-depth drug development finance knowledge.
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Coordinate enterprise-wide capital, liquidity, interest rate risk, and balance sheet management. Support alternative investments including Bank Owned Life Insurance, SBIC funds, venture funds, EQ2 partnerships, and other CRA qualifying investments.
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JOB FUNCTION / SUMMARY:Working under the direct supervision of a Portfolio Group Manager, Senior Group Sales Manager or Market President, the Commercial Portfolio Manager 3 is a supporting member of the client’s Credit Delivery Team, i.e., Relationship Manager (RM), Commercial Client Administrator (CCA), market leadership, credit officer, etc.
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Title: portfolio manager Company: Servisfirst Bancshares
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