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My client, an alternative asset management firm that specializes in multi-strategy hedge fund and opportunistic credit investing, with $9.1B AUM, is seeking a Quantitative Risk Analyst to join their Risk Management & Quantitative Analysis team, to assist in all aspects of the investment process.
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Can be based out of Boston, MA, Jersey City, NJ, McLean, VA, Dallas, TX or Tampa, FL The impact you will have in this role: The Associate Director, Senior Quantitative Analyst is a critical member of the model validation team within the Model Risk Management (MRM) Responsibilities range in activities including risk governance and reporting, model inventory, model validation and model performance oversight.
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KYC Analyst able to perform Enhanced Due Diligence (EDD) and Customer Due Diligence (CDD) of high-risk customers. Bank located in NYC area looking to hire a KYC Analyst covering EDD.
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Education: B.S., M.S. or PhD in engineering, mathematics, physics, statistics, computer scienceSeniority: minimum of 2 years of experience working on a prop trading, quantitative trading or electronic trading desk (investment bank, hedge fund, etc.
$125,000 - $225,000 a yearFull-timeExpandApply NowActive JobUpdated Today - UpvoteDownvoteShare Job
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Are you an Senior Cyber Analyst looking to grow your career with a Fortune 100 company with high international brand recognition? Experience in incident response or threat detection required; we value in-depth knowledge of cloud environments (AWS, Google Cloud Platform, Azure, Kubernetes), SaaS platforms (O365, Google Workspace), or IAM.
$32 - $34 an hourFull-timeExpandApply NowActive JobUpdated Today - UpvoteDownvoteShare Job
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Working knowledge of funding and liquidity risk, collateral management, asset and liability management, intraday liquidity and cash management, funds transfer pricing, and interest rate risk.
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Professional certification such as Chartered Financial Analyst (CFA) or Certified Risk Manager (CRM) This Audit Manager position will be responsible for planning and execution of audits associated with Capital One’s various credit risk management functions and related activities, including Corporate Credit Risk Management, Consumer Credit Risk Management, Commercial Credit Risk Management, and Credit Review.
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Primary Purpose: The Digital Media Analyst plays a critical role in Kate Spade’s customer centricity efforts. Dealing with Ambiguity: Can effectively cope with change; can shift gears comfortably; can decide and act without having the total picture; isn’t upset when things are up in the air; doesn’t have to finish things before moving on; can comfortably handle risk and uncertainty.
$78,500 - $90,000 a yearExpandApply NowActive JobUpdated Today - UpvoteDownvoteShare Job
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Expert knowledge of U.S. Basel III Risk Weighted Assets (RWA) regulations is required with a specialization in Market Risk (FTRB), Credit Valuation Adjustment (CVA) and Derivatives Counterparty Credit Risk (SCCR.Significant experience evaluating complex transactions with ability to deconstruct structures and apply judgement to draw proper regulatory capital treatment conclusions when the US Basel III rules are not prescriptive/clear and defend those decisions upon first line escalation.
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Job description Idex is representing a leading Power Trader in Houston that is growing its Endur Development team.
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Education Requirements Bachelor's degree in Nursing, or other health related science; Masters preferred Experience Requirements 3-5 years Risk Management experience preferred Licensing and Certification Requirements (if applicable) NYS RN, NP or P.A. or allied health professional licensure CPHRM preferred Strength Through Diversity The Mount Sinai Health System believes that diversity, equity, and inclusion are key drivers for excellence.
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The Credit Research Analyst will support US CLO funds and high yield credit funds managed by Tikehau’s Capital Markets Strategies. The Credit Research Analyst will report to the Deputy Head of US Research in New York and the Global Head of Credit Research in Paris.
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Securitization Credit Risk Manager, Vice President. Responsible for the implementation of the credit risk underwriting/management function for Securitized Products, providing recommendations to the credit authority.
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A leading investment bank located in midtown Manhattan is seeking a VP level Credit Risk Officer for its Prime Brokerage business. Credit Risk exp covering either Hedge Fund, Private Equity Funds or Asset Management sectors.
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In this role, the Analyst, eDiscovery works closely with the firm’s lawyers, fellow EDM team members, and eDiscovery vendors to (i) develop management plans for electronic documents; (ii) coordinate processing of e-mail and other e-data; (iii) organize and track document review workflows; (iv) prepare and facilitate the production of documents; and (v) track and document activity on assigned matters.
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Title: quantitative risk analyst Company: Federal Home Loan Bank Of Cincinnati in New York, NY
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