Actively manages portfolio risk through risk rating integrity, client reviews, watchlist management, and amendments/waivers, as well as executing compliance, audit and regulatory guidelines and reviews. The Group structures, underwrites, and closes complex and often leveraged debt transactions for n
Analyze internal and external data (industry, macroeconomic, consumer behavior) to identify emerging credit trends, shifts in portfolio performance, and changes in borrower and dealer profiles that impact underwriting and risk appetite. Using internal data and external market indicators, the special
The Underwriting and Portfolio Management organization is responsible for working with internal partners to underwrite new transactions and manage the existing portfolio of loans. As an Analyst, Underwriting & Portfolio Management, you have advanced beyond the fundamentals of credit risk managem
The ideal candidate possesses an established investment banking pedigree and skill set including capital structure advisory (debt & equity financing), strategic advisory (sell-side, buy-side, structured transactions) and other corporate finance and industry-specific financial analysis. Liaise with r
The Underwriting and Portfolio Management organization is responsible for working with internal partners to underwrite new transactions and manage the existing portfolio of loans. As an Analyst, Underwriting & Portfolio Management, you have advanced beyond the fundamentals of credit risk management
Assist Product Leader with decision making by synthesizing key trends, assessing current and future business risks, and preparing, analyzing, and reporting on financial results and key metrics. Employees are eligible for an annual discretionary award based on their overall individual performance res
This role is responsible for executing strategic growth initiatives, developing and maintaining strong relationships with (i) internal Sponsor Coverage & Capital Markets partners, (ii) directly with private equity sponsors, and intermediaries, and, (iii) partnering with internal credit, and product
This job is responsible for overseeing assigned areas of audit work acting as an Auditor-In-Charge (AIC), and executing on the audit strategy for Lines of Business (LOBs). Key responsibilities include driving risk-based auditing by defining scope and test procedures to evaluate the control environme
The Underwriting Commercial Portfolio Manager Technology Finance (HTF) underwrites credit exposure for large, complex customer relationships and circumstances and actively manages a portfolio. Includes day-to-day interaction with assigned Sales Reps, management of portfolio risk, and adherence to a
They are accountable for execution of all applicable risk programs (Credit, Market, Financial Crimes, Operational, Regulatory Compliance), which includes effectively following and adhering to applicable Wells Fargo policies and procedures, appropriately fulfilling risk and compliance obligations, ti
Oversee training to KCGF management and staff in project finance, energy finance and risk assessment and management of project finance transactions. Activities will generally fall under six main categories of services: 1) General program management, 2) Detailed Design and assistance in the developme
Managing risk, monitoring and testing controls, enhancing security, and improving corporate governance are core internal audit services. Understanding of internal audit processes, including the use of emerging technologies, understanding frameworks, and achieving audit objectives. Business Process A
With operations in 54 countries, Chubb provides commercial and personal property and casualty insurance, personal accident and supplemental health insurance, reinsurance, and life insurance to a diverse group of clients. Each individual will play a key role in driving performance and innovation with
Quantify and analyze risks including deposit modeling, rate models, OAS, and mortgage portfolios. As a Quantitative Analytics and Model Consultant Senior within PNC's Market Risk Oversight organization, you will be based in Pittsburgh, PA, New York City, Cleveland, OH, Washington, DC or Charlotte, N
Commercial & Specialized Industries (C&SI) teams provide credit, cash management, capital markets and corporate finance advisory solutions to corporations, municipalities and. Asset Based Lending (ABL) is a form of financing that provides asset-based loans to a wide range of companies, particularly
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The Risk Manager role involves providing quality and risk management support throughout the opportunity and engagement lifecycle, including risk consultations to opportunity pursuit teams, reviewing and revising as applicable draft contracts (Statement of Works, Engagement Letters, Change Orders) fo
Are you ready to work on the front line of a top 10 Bank? As a Principal Risk Associate in the Commercial Risk Office at Capital One you'll be responsible for working with business partners to identify and mitigate potential risks to Capital One. This associate will be responsible for working with b