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The Associate Principal in the Stress Testing Group performs a broad array of risk management actives to support OCC’s stress testing and liquidity risk management functions. (Required) Sound understanding of market/credit/liquidity risk management and corresponding mitigation factors.
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7 years or more of experience serving as the lead wealth management advisor to high net-worth families. Serve as wealth management advisor on a team helping high net-worth families identify and prioritize their goals & dreams.
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The Senior Identity Access Management Engineer (IAM) is responsible for designing, coding/configuring, and administering Information Security systems. Process and Project Management: Own the design and the implementation of key IT projects and initiatives as they pertain to the organization's long-term security strategy.
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The Senior Manager- Identity and Access Management is a technical leader responsible for implementing ground-breaking capabilities for our workforce and enterprise Identity and Access Management (IAM.
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In-depth hands-on knowledge of Microsoft System Center (Configuration Manager, Intune), Ansible, Jamf, or related Systems Management technologies. · 3+ years as an architect working with Systems Management technologies, such as Microsoft System Center (Configuration Manager, Intune), Ansible, or Jamf.
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Milliman Financial Risk Management LLC (Milliman FRM)—an SEC registered investment advisor—is a global market leader in risk management and hedging support services. The Financial Technology Group (FTG) seeks a Software Test Engineer to join its Financial Risk Management (FRM) Practice in Chicago, IL. We are a cohesive team of dedicated and enthusiastic software and quality assurance engineers, further supported by two managers and a small operations team.
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ServiceNow/BMC Helix/Jira Service Management (implementations, transformations, etc.) + Knowledge of Service Management and Operations processes in ServiceNow (Change Management, Incident Management, Problem Management, Request Management & Knowledge Management.
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We have advised management, investors, and creditors around the world on many of the largest and most high-profile bankruptcies and restructurings over the past 40 years, including Enron, General Motors, and the Commonwealth of Puerto Rico and more recent engagements with Bed Bath & Beyond, Party City, and Pacific Gas and Electric, to name just a few.
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The Wealth Management Advisor focuses on driving deeper relationships with clients by developing comprehensive financial plans and wealth strategies intended to plan for future goals and cash flow needs through a sound and efficient savings, investment, and tax strategy.
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Within that construct, Risk Management provides a broad spectrum of risk management support to the firm's departments, including Front Office (Portfolio Management, Trading, and Credit Research), Operations (Portfolio Services and Information Technology), and Legal & Compliance.
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PEC maintains a mission-driven business model with an established track record of strong performance that incorporates elements of venture capital, private equity, and real estate investment management.
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The Quantitative Risk Management Analyst joins a very dynamic team exposed to and challenged with complex pricing and risk management problems requiring quantitative research, large scale implementations, supporting numerical libraries, prototyping and supporting of state-of-the-art front office pricing and risk management systems.
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Experience working on an Identity & Access Management (IAM) Team and environment. We need a Sr. Manager, Identity & Access Management - Product Management , who will guide the Identity & Access Management Product team in defining product landscape & capability matrix.
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The Senior Analyst/ Consultant, TPRM will support the Third Party Risk Management team fulfill its review, challenge and reporting expectations, as well as operational risk management and control framework requirements.
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This role is responsible for one or more functions within Quantitative Risk Management (QRM) who develops and maintains risk models for margin, clearing fund and stress testing with the focus on developing and maintaining risk model software in production, and environments and infrastructure used in model implementation and testing.
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Title: management in Chicago, IL
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