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Minimum 5 year of corporate treasury within any one of the following functionalities: Treasury organization, strategy and operations Bank Reporting, Cash Management and Liquidity Cash Flow forecasting and Cash Positioning Bank Account Management and Bank Fees Analysis Payments, In-House Banking and Multilateral Netting Debt and Investment Management Foreign Exchange and Interest Rate Hedging Financial Risk Management, including Hedge Accounting Governance and controls.
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This high-profile group works across all of Investment Management as well as with our other internal stakeholders including product, actuarial, treasury, accounting, risk, compliance, and external partners, including our primary asset management subsidiary Barings and the major Wall Street derivative broker/dealer counterparties.
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Job Description: The Director of Emerging Technology Risk within the Technology and Information Risk Management organization at Santander US and Santander Bank NA is responsible for ongoing oversight, assessment, management and reporting of technology and cybersecurity risks associated with the adoption and implementation of Cloud, AI and Digital Assets (e.g. Blockchain, Crypto etc.
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Expertise in the execution, monitoring, or auditing of credit risk management activities (e.g., Regulation Q, Basel III rules, Risk Weighted Assets (RWA) classifications and calculations, netting agreements, Single Counterparty Credit Limit (SCCL) monitoring, Current Expected Credit Losses (CECL) calculations, counterparty stress testing) via working in the first-line (e.g., credit origination, banking), second-line (e.g., risk management), or third-line (e.g., internal audit.
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Guides the Project Director to lead a collaborative approach to develop, review, and monitor the annual work plan, budget, Performance Monitoring Plan, progress reports, Environmental Mitigation Plan, strategic communications plan, MSH Project Reviews, short term technical assistance plan, risk management plan and ad hoc reports.
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Stakeholder Management: Support business partner expectations by creating feedback mechanisms to improve customer and colleague satisfaction as well as risk management. Risk & Control: Adhere to regulatory (federal and state) as well as corporate policy requirements for commercial lending, credit risk and operational risk.
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The Equity Derivative Portfolio Manager will work closely with teams across Investment Management, Barings and Enterprise Risk. The TeamThe Quantitative Portfolio Management (QPM) team has primary focus in asset-liability management (ALM), product pricing, and the formulation and execution of quantitative strategies that enhance policyholder surplus and mitigate unwanted risks in the portfolio.
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FM Global helps clients maintain continuity in their business operations by drawing upon state-of-the-art loss-prevention engineering and research; risk management skills and support services; tailored risk transfer capabilities; and superior financial strength.
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We are seeking a rock star Senior Data Scientist to join our Risk Data team within the Ecosystem Fraud Team at Square. You will play a pivotal role in combating high-risk fraud and scams across our platform, utilizing advanced machine learning and analytical solutions.
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Minimum 5 years of audit experience in areas related to BSA/AML, sanctions and fraud risk management programs and regulations, banking regulations, local standards, and internal policies.
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Job Opportunity: Berkshire Hathaway Specialty Insurance (BHSI) has an exciting opportunity for an analytical and technically minded Water Resources (Flood) Engineer with expertise in inland and coastal flood risk modeling (including storm surge) to join the Catastrophe Engineering and Analytics (CAT E&A) team.
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These projects should be targeted to enable multiple business processes and/or source data systems to drive efficiencies and reduce redundancies supporting one or more of the following functions; internal audit, compliance, enterprise risk management, operational risk management, technology risk management, third party risk management, cyber security, business resiliency, incident management, SOX (and/or other compliance frameworks), or other business programs/initiatives.
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Expert knowledge in using Bloomberg, and FactSet, similar investments systems, as well as experience to be able to apply expertise to any new investment risk management and accounting related, and order entry systems.
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Title Issues Management Risk Officer Type Full Time Experience Required Function Compliance/Risk Location Boston, MA, United States Company First Citizens Bank. High School Diploma or GED and 10 years of experience in Financial Services, Risk Management, Operational Risk Management, Compliance, Audit, Finance, or Accounting.
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Develops and improves the framework of using catastrophe risk management software for data input, model set-up, model execution, result extraction and loss analytics. Leads, supports, and executes catastrophe risk management tasks and projects in conjunction with related teams in the organization.
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management risk jobs Company: Dice in Cambridge, MA
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