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Loan Review’s mandate covers credit and related trading and/or derivative exposures originated by and managed by various Front Office business units and Credit Risk Management, in Global Markets, Investment Banking, and Distribution and Portfolio Management.
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The AIMS Platform Management team is broadly responsible for portfolio implementation and trading, liquidity risk management, designing equity and currency hedging programs, portfolio construction and monitoring, external manager on-boarding and oversight, private market deal closing, valuation models for level 3 assets, overseeing the business control framework as well as a number of important strategic initiatives.
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Global Banking and Markets Global Banking and Markets (GBM) is a leading Canadian Capital Markets and Investment Banking business with a growing platform in the US and Latin America, operating globally for over 100 years.
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The Financial Services Group is seeking to support its quickly growing Asset and Wealth Management practice with an experienced Investment Banking Associate or Vice President. Vice Presidents in the Financial Services Group support new business development and investment banking engagements, manage the execution of mainly mergers and acquisitions transactions, and assist with private capital markets and restricting transactions.
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With roots tracing back to 1881, the Company is engaged in a broad range of activities in the financial services industry, including retail securities brokerage, institutional sales and trading, investment banking (both corporate and public finance), equity & fixed income research, market making, trust services and investment advisory and asset management services.
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The firm's Asset Management team builds robust relationships with portfolio companies utilizing a customized process to learn and monitor the intricacies of a business' operations and key performance indicators, with the goal of maximization of return for the firm's investment portfolio.
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Create champions for Carta's fund administration products (fund formation, SPV formation, valuations, KYC / AML, and portfolio insights) for venture capital and private equity funds within the investment management ecosystem by partnering with, developing scalable strategies for, and engaging with law firm fund formation practices.
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Corporate and Investment Banking (CIB) Credit Risk Portfolio Management, within the Credit Risk Area in Second Line of Defense, is a critical component of the Risk Management function in Santander group in the USA, responsible for the monitoring of the CIB's credit portfolio.
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The Investment Officer, Cash Management will report to the Head of Short-Term Strategic Portfolio and Trading and will be responsible for the investment of a portion of the $1-6 billion of short-term funds for the New York City retirement systems as well as the investments of a portion of the $12-20 billion invested on behalf of other NYC agencies.
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The ICM Hedge Fund (HF) Portfolio Manager VP is responsible for managing Citi’s credit risk to a portfolio of the firm’s most complex and large Hedge Fund relationships. Citi continues to enhance its business control and governance framework by building out Institutional Credit Management (ICM), a new function in the 1st Line of Defense, to house and consistently manage credit risk activities performed across its Institutional Client Group organization.
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Bachelor’s degree and relevant experience in Tech/ Investment Research Investment Banking or Software. New York This role is regulated by FINRA. As a Barclays Equity Research Analyst, Software, you’ll be responsible for reviewing business and trade publications, annual reports, financial filings, and other sources to gather, synthesize and interpret data on companies followed by the business.
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Our Consumer & Community Banking division serves our Chase customers through a range of financial services, including personal banking, credit cards, mortgages, auto financing, investment advice, small business loans and payment processing.
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You have 2+ years of combined experience within investment banking, growth equity, venture capital, private equity, corporate development, management consulting, or similar. You have fluency in business model analysis, investment thesis development, and are experienced in financial modeling and valuation.
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Collaborate with Team to build and improve data and processes which are critical to the Equity Investment Risk Team. QUALIFICATIONS An undergraduate degree in business, finance, mathematics or other related quantitative field Ideally 2 - 5 years of experience; previous experience in the equity asset management industry is strongly preferred.
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Macquarie is a global financial group providing clients with asset management, retail and business banking, wealth management, leasing and asset financing, market access, commodity trading, renewables development, specialist advisory, capital raising and principal investment.
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business banking portfolio manager investment management jobs Title: manager in New York, NY
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