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Candidates must hold a JD degree, or an equivalent advanced law degree, from a U.S. or foreign law school, or a relevant masters degree and have a minimum of three years of professional experience in a law firm, government agency, or peer higher education institution.
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Analyze and quantify interest rate, foreign exchange (FX), and commodity risk exposure of the group and propose hedging strategies to mitigate such risks. Possess at least 10 years of experience in financial markets risk management within a corporate or bank environment.
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Capital Markets Group segments: Chief Operating Office/Strategy, Derivatives Products Group, Financial Institutions Group – Banks Division, Financial Institutions Group – Financial Services Division, Fixed Income, Foreign Exchange, and Structured Products Group.
$35 an hourInternExpandApply NowActive JobUpdated 2 days ago - UpvoteDownvoteShare Job
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The Audit Manager is a key position within the Capital Markets and Financial Risk Management Audit Services Team responsible for project management and delivery of audit engagements across risk management processes (specifically credit risk) and key capital markets businesses including Global Foreign Exchange Trading, Securities Lending, Brokerage and Transitions Management.
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Must also have expertise in treasury operations & technology (banking, liquidity management, cash positioning) and foreign exchange/ interest rate derivatives. Drawing on nearly four centuries of collective experience across Wabtec, GE Transportation and Faiveley Transport, the company has unmatched digital expertise, technological innovation, and world-class manufacturing and services, enabling the digital-rail-and-transit ecosystems.
Full-timeExpandApply NowActive JobUpdated 22 days ago - UpvoteDownvoteShare Job
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Knowledge of Capital Markets and financial products such as Foreign Exchange, Securities Lending, Treasury, and Investment Securities is preferred. 5 plus years of relevant work experience with foreign exchange or derivatives experience preferred or equivalent in VaR/ FRTB/Derivatives asset pricing or related quantitative fields.
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Experience with CCAR and CECL. Bank of America Merrill Lynch has an opportunity for a Sr. Quantitative Financial Analyst within our Global Risk Analytics (GRA) function. Successful candidates will have a Masters or PhD in Math, Economics, Statistics, or similar discipline, and a minimum 5 years relevant experience.
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Knowledge of current geopolitical issues impacting the financial services industry. 8+ years of experience conducting protective advances (i.e.; experience in multiple locations within the US, as well as foreign experience.
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This company is looking for a hands-on manager with 7+ years of experience working with backend Microsoft exchange, O365, Intune, zoom, video conferencing, VOIP, and cloud based infrastructure.
$170,000 a yearFull-timeExpandApply NowActive JobUpdated 2 days ago - UpvoteDownvoteShare Job
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Required] Experience in financial services/ regulated capital markets infrastructure. [Preferred] Depth and breadth of experience in a highly regulated industry, like financial services, and an understanding of rules/regulations that govern them.
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Houlihan Lokey’s Transaction Advisory Services (TAS) team assists private equity and corporate clients by providing cohesive diligence across financial, tax, data analytics, cybersecurity, and technical accounting.
$160,000 a yearFull-timeExpandApply NowActive JobUpdated Today - UpvoteDownvoteShare Job
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Two (2) years experience in program administration and development of social services. CMAA is looking for a mission-driven and detail-oriented Social Services Manager, who reports directly to the Executive Director.
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Technology Consulting, Non-Financial Services, Manager – ServiceNow: This position could be located in NY, NJ, NC, GA, IL, PA, MA. EY is the only professional services firm with a separate business unit (“FSO”) dedicated to the financial services marketplace.
$231,600 a yearFull-timeExpandApply NowActive JobUpdated Today - UpvoteDownvoteShare Job
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3-5 years of experience in credit analysis, preferably in restructuring, distressed debt, or high-yield environments. Conduct thorough credit analysis of distressed and underperforming companies, evaluating liquidity, debt capacity, and financial performance.
$125,000 a yearFull-timeExpandApply NowActive JobUpdated Today - UpvoteDownvoteShare Job
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This position is responsible for managing accounting functions related to treasury, cash forecasting, accounts payable, accounts receivable, foreign exchange, travel and purchase card programs, prepaid expenses, general accruals, fixed assets, COFIS balance sheet reporting and statutory P&L reporting.
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no experience financial services foreign exchange jobs in Chicago, IL
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