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The ideal candidate will leverage expertise in high-level complex SaaS sales in supply chain risk, vendor risk management, and/or third-party risk management. Familiarity with Supply Chain Risk Management, Governance, Risk & Compliance, and Third-Party Risk Management.
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Bonus PointsCertified Risk Adjustment Coder (CRC) or similar certificationExperience coding in multiple different Electronic Medical Record (EMR) systems. We're hiring a Risk Adjustment Coder Specialist to join our Risk Adjustment team.
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Experience with BlackRock's Aladdin, Bloomberg, or similar fixed income risk and valuation system. The successful candidate will contribute to fixed-income portfolio analytics and attribution, forecasting and analysis of securities and swap net interest income, portfolio stress testing, as well as balance sheet management and interest rate risk management within a large bank setting.
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Serves as a principal advisor and key resource to senior leadership and other parties, and as liaison between appropriate agencies, on all matters pertaining to patient and public safety, risk assessment, and other factors relating to security excellence.
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Refine the firm's comprehensive risk management framework for digital asset trading, custody, and settlement activities. Your expertise in risk management will directly impact the firm's ability to navigate the evolving landscape of cryptocurrency markets, protect our clients' assets, and maintain our reputation as a trusted and reliable partner in the industry.
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The AVP will work in Chubb’s Enterprise Risk Management Unit to help advance Chubb’s capabilities in Cyber risk management and catastrophe modeling, by advancing our understanding of the drivers and impacts of Cyber catastrophe risk.
$168,000 a yearFull-timeExpandApply NowActive JobUpdated Today - UpvoteDownvoteShare Job
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What you’ll need: 10+ years of progressive experience in model risk management, governance, or related roles in the financial services industry, including 5+ years in senior leadership. The ideal candidate will possess a deep understanding of model risk governance and regulatory requirements, with the ability to collaborate across functions to enhance model risk management practices.
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Leads the 1st Line advisory of AML Compliance Risk framework responsibilities with Business Process Owners including Global Financial Crimes Compliance (FCC) Risk Assessments, FCC Testing, Issue Management, External Risk Events, Key Risk Indicators, Control Identification and Design, and Quality Assurance programs.
$203,315.53 a yearFull-timeExpandApply NowActive JobUpdated 3 days ago - UpvoteDownvoteShare Job
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Robinhood's Security, Privacy and Corporate Engineering organization is seeking an experienced Director of Security Risk Management and Enterprise Resilience to lead our efforts in overseeing security risk management and policy governance, ensuring regulatory compliance, and improving our enterprise resilience.
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Director, Model Validation for SHUSA Compliance models (Transaction Monitoring, Sanctions Screening, Fraud Risk, etc) will be responsible for leading the independent validation of models used by various Compliance groups in conformance with regulatory guidance on model risk SR- and other regulatory requirements around Compliance models.
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10-15 years of Audit or risk control risk/controls background preferably in financial services. Audit or risk control risk/controls background in financial services. Ability to manage audit projects within a risk-based audit methodology and provide coaching and training to junior associates within the team.
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How you will fulfill your potential: Develop software and analytics to progress Corporate Treasury’s mandates: interest rate pricing & risk management, trade execution, funding optimization & liquidity risk management and cash & collateral management Optimize the firm’s liability stack by developing balance sheet analytics and hedging strategies Actively engage with Corporate Treasury Trading, supporting valuation and risk/P&L reporting.
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5 years of experience must include: Financial and statistical analyses in support of customer segmentation and targeting, product selection, offer optimization, and customer behavior and contact strategy analyses; User acceptance and system integration testing; Model implementation and performance monitoring; Model risk management; Documenting data handling process; Presentation and defense of model calculations in audit response; SQL, SAS, Python, R, Excel.
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Support the Investment Team with quantitative research and analysis of investment opportunities across various asset classes, including equities, fixed income, and alternative investments with a strong focus on risk management and portfolio construction.
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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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risk job Title: quality engineer Company: Jobot in New York, NY, Us
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