We are a woman-owned and women-led Financial Planning firm dedicated to providing personalized Retirement Income Planning and Investment Advisory services to more than 300 families. Our firm prides itself on creating customized strategies to meet the unique needs of each client, combining experience
Proven skills, certifications, education and/or experience in Enterprise Risk Management. The mission of the Enterprise Risk Management (ERM) Department is to prevent, detect, and resolve loss. Aritzia is growing and our Enterprise Risk Management (ERM) team is growing with it.
Take measured risks while protecting the bank by applying our Risk Management Framework in the execution of your role, in line with our Risk Culture and within our approved Risk Appetite, making sound and risk informed decisions that align to business strategy, protect assets, and adhere to applicab
Includes identifying and analyzing business processes, key risks and critical controls; interviewing auditees; determining audit scope; evaluating control design adequacy; and developing audit programs which provide sufficient guidance for testing control performance effectiveness and making evaluat
Certified Internal Auditor (CIA), Certified Public Accountant (CPA), Chartered Financial Analyst (CFA), Certified Risk Manager (CRM), Financial Risk Manager (FRM), or Credit Risk Certification (CRC). As a member of the Audit team, the candidate will focus on audits of Enterprise and Operational Risk
Collaborate effectively across multiple organizations such as Operational Risk Management, Enterprise Risk Management, Compliance, Business Risk Offices, Operational Risk Sub-Steward organizations, Information Technology, Basel Program, Internal Audit, Regulator Relations, etc. As a Senior Risk Mana
This role involves overseeing the financial activities of the corporation and preparing financial reports while managing the Asset/Liability profile of the bank. A boutique talent acquisition firm is seeking a Chief Financial Officer in Chicago, IL. The ideal candidate has over 10 years of experienc
The ideal candidate will have over 10 years of experience in the Financial Services industry, strong regulatory reporting knowledge, and effective team leadership skills.
Collaborating with Global Payment Network business teams, the Business Risk Office, and Compliance stakeholders to address risks, develop creative solutions, and resolve issues. Providing expert counsel and strategic guidance across a critical spectrum of areas, including: counterparty credit risk,
As a member of the Audit team, the candidate will focus on audits of Second Line Risk Management (Enterprise Risk Management, Operational Risk Management, Third Party Risk Management, Business Continuity, Payment Risk, Network Conflict Risk) and the First Line Risk Offices. Capital One is seeking an
We're looking for Audit Managers with experience in Financial Services industry verticals including but not limited to Banking, Private Equity, Asset Management, Insurance, & Fintech. Your background should have experience in external audit working with Banking, Private Equity, Asset Management, Ins
As a Senior Financial Advisor at AFIN Family Wealth Management, you will play a crucial role in delivering comprehensive financial planning and investment management services to our esteemed clients. Create customized financial plans encompassing investment strategies, retirement planning, tax optim
As an Underwriter & Portfolio Manager, you begin to demonstrate subject matter expertise in credit risk management and are expected to perform responsibilities independently. At least 5 years of experience in credit underwriting, portfolio management or asset management. Assist less experienced team
The portfolio of credit products we manage and monitor includes corporate recourse traditional credit products (revolving credit facilities and term loans), real estate asset level financings, whole loan repos, risk retention, derivatives and treasury lines. As a Real Estate Credit Risk Associate on
You will have the ability to develop a broad and deep understanding of the business, financial and sector risks faced by clients in your assigned portfolio and utilize that view to properly risk grade borrowers, analyze credit requests, structure credit facilities and negotiate credit agreements and
Lead the due diligence and risk grading of your portfolio; evaluate and action credit requests, risk grading, and on-going monitoring and management of a diverse portfolio of risk including traditional credit products, markets products (derivatives, trading, and financing), intraday liquidity facili
As a Lead Credit Officer (Vice President) on the Specialty Finance Risk Team, you would be responsible for the risk management of a national portfolio of non-bank financial entities which are focused on residential mortgage originations, commercial/consumer finance, fintech, and other financial serv
Lead or execute quantitative reviews/audits/validations (conceptual soundness, documentation, data, methodology, development code, testing, and implementation for accuracy) of models or financial risk tools used for credit risk, market risk, liquidity risk, and stress testing. Preferred] Financial R
Our history spans over 200 years and today we are a leader in investment banking, consumer and small business banking, commercial banking, financial transaction processing and asset management. Develop, consolidate, and present qualitative and quantitative financial analysis for senior management an