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Beginning coursework toward certification in area of expertise preferred; appropriate certifications could include Associate in Underwriting (AU), Chartered Property Casualty Underwriter (CPCU), Certified Insurance Counselor (CIC), Program in General Insurance (INS) or Associate of Risk Management (ARM.
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Experience in risk management, cyber security, or technology related governance, with a focus on emerging technologies and artificial intelligence and a strong understanding of complex technical capabilities, risks, and controls in areas of cloud computing, artificial intelligence, blockchain and quantum computing with an eye to the next wave of technology.
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Certified Internal Auditor (CIA), Certified Public Accountant (CPA), Chartered Financial Analyst (CFA), or Financial risk manager (FRM) As a member of the Treasury Audit team, the candidate will focus on audits related to Funding, Derivatives, Market Risk, Collateral and Counterparty Credit Risk Management from a 1st and 2nd line point of view.
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The first-line CISO has operational responsibilities and reports to the CIO. The second-line Chief Tech Risk Officer (CTRO) and the Technology Risk Management (TRM) organization have broader responsibilities for cybersecurity but also reliability, software quality, resilience, and other technology risks.
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Department responsibilities also include managing a captive insurance company, managing insurance claims, and reviewing client and vendor contracts. Corporate Insurance Services (CIS) is part of the Chief Administrative Office (CAO) and is responsible for negotiating, structuring and administering worldwide insurance programs for JPMorgan Chase & Co.’s businesses and operations.
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Multiple coverage choices for medical insurance, all include free telemedicine and medical spending account (HSA/FSA) options. The Community Choice Financial® Family of Brands is currently seeking a Senior Analyst, Credit Risk Strategy This Senior Analyst is responsible for helping design, develop, and maintain complex statistical models that support credit risk and collections for our consumer loan products.
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10 or more years of experience in Risk and Compliance operations, especially in Third Party or Technology risk, in a financial services, banking, or insurance organization with a proven track record leading risk and compliance operations, programs, policies, and procedures.
$294,980 a yearFull-timeExpandApply NowActive JobUpdated 4 days ago - UpvoteDownvoteShare Job
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The Small Commercial indications team within USRM Risk Analytics is seeking an Actuary to be the Cross-line lead. Sound knowledge of actuarial techniques and standards, as well as other business operations including financial, underwriting, legal, statistics, claims, sales, etc.
$218,300 a yearFull-timeExpandApply NowActive JobUpdated 9 days ago - UpvoteDownvoteShare Job
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OR Zurich Certified Insurance Apprentice, including an Associate Degree with 6 or more years of experience in the Claims and/ or Litigation Management area. OR Juris Doctor and 2 or more years of experience in the Claims and/ or Litigation Management area.
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Contribute to the development of a sound Model Risk Management Framework. The Model Governance Sr. Analyst aids with the continuous development of sound model risk management practices and supports the evolution and execution of the Model Governance Program.
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Under the direction of the Sr. BSA Manager, the BSA Risk Manager is responsible for performing a comprehensive analysis of the Bank’s BSA/AML and OFAC risks assisting in identifying money laundering/terrorist financing, and other illicit financial activity risks and in the development of appropriate internal controls.
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Strong understanding of risk management frameworks and requirements for financial services (KYC, AML, PCI DSS, card network compliance). Develop and implement comprehensive compliance frameworks to integrate our various products and services, ensuring alignment with enterprise-wide risk needs and relevant regulations (e.g., KYC, AML, PCI DSS.
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The Manager, Credit Risk is responsible for Portfolio analytics, CECL/Reserve/Capital modeling, business performance reporting/initiatives, and business unit support for the Risk Management organization within Regional Management.
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A strategic initiative of the Enterprise Risk Management (ERM) team at National Life is to mature its Model Risk Management (MRM) function. Experience in monitoring and tracking emerging trends and best practices in model risk management.
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The primary responsibility of this role is to provide critical thought-leadership using data and analytics on Interest Rate Risk (IRR), Liquidity Risk, Funds Transfer Pricing (FTP), Valuation, and Financial Forecasting utilizing measures such as Net Interest Income (NII), Earnings at Risk (EAR), Economic Value of Equity (EVE), and other Key Risk Indicators.
$65 an hourFull-timeExpandApply NowActive JobUpdated 25 days ago
compensation claims risk insurance jobs Company: Deloitte in Richardson, TX
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