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Play a leading role in developing, drafting and presenting the comprehensive annual Interest Rate Risk / Liquidity Risk Oversight report which documents MLRM's ongoing review and assessment of Truist's interest rate and liquidity risk management practices and risk position.
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Develop and implement collaborative partnerships with senior management across lines of business, internal departments, second line program leaders, peer First Line Risk Management (FRM) leadership, and other stakeholders to enhance BU risk management capabilities.
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Enterprise Model Risk Management seeks a Sr Quantitative Fin Analyst – Anti-Money Laundering (AML) to conduct independent testing and review of complex models used to monitor and mitigate money laundering risk.
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Financial Services Risk Management, Non-Financial Risk Controls – Manager: This position could be located in NY, NC, TX, IL. Direct experience with banking and capital markets, asset management, or insurance industries, with a specific focus on enterprise risk management, an understanding of the risk management life cycle, topics of risk governance, and internal controls.
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Liaise with key stakeholder groups including Enterprise Risk Management, Operational Risk Management, First Line Business Continuity Management, Crisis Management Group, and Third-Party Risk Management.
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Coordinate and manage IT risks and issues across IPRM. Develop and present risk reports and action plans to business partners and senior management via risk routines. This role will be responsible for assisting in implementing various component of the IT risk management program as well as risk reporting for the IPRM (Information Protection Risk Management) team.
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Advise business partners, CRM team members, and management on regulatory compliance requirements and best practices with respect to effective model risk management. This position sits within the Corporate Risk Management (CRM) and will collaborate closely with key stakeholders across different business functions including Pricing, Valuation, Asset Liability Management (ALM), and Audit.
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Risk management toolsThis role is for a Senior Project Scheduler who must have demonstrated hands on experience using primavera (p6) as the scheduling software. Requirements: Bachelors degree from a four-year college or university - business, finance, project management, engineering, technical, or equivalent and a minimum of 7 years of project controls scheduling experience using primavera (P6) or a minimum of 11 years of project controls scheduling experience using primavera (P6) in lieu of a degree.
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Assists Treasury Manager with monthly cash forecast for Treasurer and other Finance senior management. Assists Treasury Manager with maintenance and enhancement of the Kyriba treasury management system and other department processes.
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Experience evaluating, selecting, onboarding and use of software and quantitative tools used in investment management to drive governance, compliance, risk management, and investment performance.
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Must have excellent communication skills – both verbal and written, The Work Itself (Job Responsibilities) Coordinate and manage IT risks and issues across IPRM. Develop and present risk reports and action plans to business partners and senior management via risk routines.
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Degree level qualification in Project / Construction Management, engineering, or architecture (desirable). Ensure the safe delivery of projects through the management of risk and competence in a principal delivery model.
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Be responsible for developing and maintaining annuity valuation models in Python or other object-oriented language for hedging and risk management. This role offers the unique experience to both derivatives analytics and annuity modeling, with exposure to both investments and corporate clients such as finance, general account managers and ALM, derivatives trading, ALM hedging, product pricing, actuarial valuation, corporate risk and audit, and information technology.
$110,000 a yearFull-timeRemoteExpandApply NowActive JobUpdated Today - UpvoteDownvoteShare Job
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The Opportunity The Senior Quantitative Model Developer will collaborate in the development of complex quantitative models and analytical tools used for credit and interest rate risk management, cash flow generation, and scenario analysis.
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As the Manager of Market Risk, you will rely on your expertise in analyzing market trends, assessing risk exposure and risk management strategies. Basic Qualifications: Bachelor’s degree with major in engineering, accounting, finance, economics or related discipline 4-8 years of increasingly diverse or complex experience in related field in addition to degree Possesses fundamental knowledge of energy trading and risk management practices.
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risk management jobs Title: project manager senior construction Company: Diamond Peak Recruiting in Charlotte, NC
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