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Experience: You have 5-8 years of experience in credit risk management or a related field. You'll work closely with both internal and external partners to streamline our monitoring processes and contribute to our credit risk strategy and portfolio management in partnership with our Product and Finance teams.
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The Analyst, Vendor Risk Management will work with clients to identify client supply chain risk and cybersecurity challenges, advise on best practices in vendor risk management, and ensure successful delivery of BlueVoyant solutions to solve customer problems.
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The bank is seeking a Senior Risk Analyst who will be responsible for building out credit research and analysis within Liquidity Product Management , providing fundamental credit research and financial analysis of SVB counterparties, offering recommendations regarding risk, evaluating new counterparties, and recommending actions related to existing counterparties.
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The group's investment solutions help traditional fixed income investors access the syndicated loan and high yield bond markets and capitalize on opportunities across traded corporate credit.
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Our model risk management team evaluates these financial models to ensure they are operating effectively and in-line with regulatory expectations to effectively mitigate risk. You will help clients build out their model risk management programs by validating, assessing, and testing various components of each model and identifying gaps, issues, and weaknesses that need to be addressed.
$38 an hourFull-timeExpandApply NowActive JobUpdated 8 days ago - UpvoteDownvoteShare Job
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3-7 years of relevant credit research experience in investment management, rating agency, or debt capital markets/leverage finance. 7+ years of experience of relevant credit research experience in investment management, rating agencies, or debt capital markets/leverage finance.
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Refine the firm's comprehensive risk management framework for digital asset trading, custody, and settlement activities. Your expertise in risk management will directly impact the firm's ability to navigate the evolving landscape of cryptocurrency markets, protect our clients' assets, and maintain our reputation as a trusted and reliable partner in the industry.
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As a REPO/MMF Credit Analyst for REPO and Money Market Mutual Funds Sweeps, you will be responsible for building out credit research and analysis within Liquidity Product Management, providing fundamental credit research and financial analysis of SVB counterparties, offering recommendations regarding risk, evaluating new counterparties and recommending actions related to existing counterparties.
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Fintech Experience: Previous experience with money transfer, consumer credit, or consumer fintech products. Our product solves the worst aspects of money transfer by empowering our customers to use credit rather than cash.
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Sia Partners is looking for a talented Management Consultant to support our Risk, Regulatory & Compliance Business Unit serving our clients as a project manager. Project Manage and/or support on a range of client delivery, as part of an on-site or remote project team.
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Experience in IT risk transformation services such as IT risk management, GRC, data analytics, policy and standard management, issues management, or IT regulation and compliance.
$196,100 a yearFull-timeExpandApply NowActive JobUpdated Yesterday - UpvoteDownvoteShare Job
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Manage a portfolio of distressed or non-performing assets, ensuring effective resolution and mitigation of credit risk. This strategic leadership role requires a seasoned professional with extensive experience in asset management, loan workouts, and distressed debt restructuring.
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Leading core Accounting areas including Performance Management (executive dashboards management reporting, planning, budgeting & forecasting, analytics & decision support); Record-to-Report (financial close, consolidation, financial reporting, Fixed Assets, Inventory, Payroll); Order-to-Cash (order entry, customer credit, invoicing, accounts receivable, collections); and, Procure-to-Pay (procurement, accounts payable, invoicing.
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Position is responsible for the asset and portfolio management of Community Development Finance (CDF) Low Income Housing Tax Credit (LIHTC) investment funds, including tracking fund performance, ensuring syndicator reviews are updated on an annual basis, and producing quarterly/periodic Watch List reviews and Annual LIHTC Asset Management Report.
$190,000 a yearFull-timeExpandApply NowActive JobUpdated 7 days ago - UpvoteDownvoteShare Job
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The Senior Risk Manager will support the Enterprise Risk Management (ERM) group on all aspects of corporate insurance programs. Facilitate and strategize with the ERM team on the Strategic Enterprise Risk Management framework and governance process, including the creation of risk mitigation plans.
$172,790 a yearFull-timeExpandApply NowActive JobUpdated 7 days ago
risk management on site credit jobs in Sausalito, CA
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