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Stay up-to-date with industry best practices, emerging trends, and regulatory guidelines related to market risk modeling risk management, incorporating them into the model risk management process.
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A career in Treasury Advisory, within Risk & Regulatory Advisory, will allow you to advise financial institutions on developing strategies to optimize financial performance and risk management across financial risks, including liquidity risk, market risk, counterparty credit risk and interest rate risk.
$202,000 a yearFull-timeExpandUpdated 1 month ago - UpvoteDownvoteShare Job
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Required] Advanced understanding of IT risk and Security risk, specifically relating to cybersecurity (e.g., blue team, red team, threat & vulnerability management), disaster recovery, database management, network engineering, storage management, software development, and mainframe technologies.
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The position is also responsible for executing a variety of governance and compliance programs related to relationship management, data security, escheatment, blue sky, anti-money laundering, market timing, and more.
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It is responsible for developing, maintaining, and monitoring counterparty credit risk and market risk models. Perform detailed design and lead development of a market risk system focused on model analysis.
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Expertise in Murex, particularly Credit & Market Risk configurations (PFE, CVA, VaR), Trade interface development (TDS, LTS), Market Data interface development (midst), static data interfaces, workflow configuration, DataMart reporting.
Full-timeRemoteExpandApply NowActive JobUpdated 1 month ago - UpvoteDownvoteShare Job
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We are responsible for balance sheet management strategy, portfolio and brokered deposit notional investment allocation decisions, balance sheet modeling and analytics, market risk management, ALM derivatives, and net interest income forecasting.
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Qualified candidates will have a deep understanding across the FX market from forecasting and trading, portfolio construction, optimization, and risk management. This trader must be able to demonstrate exemplary decision making skills in addition to superior risk management, theoretical pricing, and market structure knowledge.
$250,000 a yearFull-timeExpandApply NowActive JobUpdated 1 month ago - UpvoteDownvoteShare Job
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Expertise in Murex, particularly Credit & Market Risk configurations (PFE, CVA, VaR), Trade interface development (TDS, LTS), Market Data interface development (mdit), static data interfaces, workflow configuration, datamart reporting.
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Overview of the RoleThe position provides an excellent opportunity for a Market Risk Quant to be at heart of the banks model development for global trading activities. Solid working experience in a related field (Market Risk, Middle Office.
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The Governance, Risk & Compliance Analyst is responsible for identifying and mitigating risks across the department. Perform recurring assessments of department risk and controls to contribute to enterprise risk assessments.
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Partner with Asset Liability Management Team, Liquidity Stress Testing team, business line subject matter experts, Model Validation, and risk management to ensure sound assumptions are developed that covers all products and external market considerations for business as usual to resolution.
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The consultant is expected to interface with multiple traders and Credit\Market Risk Managers. Market risk configuration & ANT scripting. Market Risk – VaR, DV01, NOP.
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Closely work with Global Markets Risk (GMR) and Front-Line Units (FLU) trading desks for internal risk management, Enterprise Capital Management (ECM) for market risk capital requirements, technology partners for model implementation, front-office pricing model quant developers, and Model Risk Management (MRM) for model risk oversight.
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Our direct client is looking for an experienced Murex Technical Consultant responsible for enhancing and supporting current Murex Enterprise Risk Management implementation. Credit risk configuration.
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market risk jobs in Chicago, IL
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