FTCM") is a privately-owned alternative investment research and asset management firm that advises investment advisors, family offices, and high net worth individuals. Investment due diligence covers all asset classes and strategies, wherein the Research Team maintains a proprietary database of
The ideal candidate should have an understanding of commercial banking or risk management practices and be looking to deepen their knowledge of credit risk policy and governance. GV&I is responsible for Credit Risk Policy, Risk Governance, and Risk Appetite activities for the Commercial Bank. At
M&A • Private Equity • Capital Markets • Securities • Finance • Funds. Corporate Finance & Lending. M&A, private equity, capital markets, securities, finance, and investment funds.
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
Those in tax compliance at PwC will focus on validating clients' compliance with tax laws and regulations. You will review and analyse financial data, prepare and file tax returns, and assist businesses in meeting their tax obligations while minimising risks of non-compliance. At PwC, our people in
As a member of the Audit team, the candidate will focus on audits of Enterprise and Operational Risk Management frameworks and processes in the Second Line of Defense, as well as the related risk programs executed by theFirst Line Business Risk Offices. Capital One is seeking an energetic, self-moti
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
A career with Goldman Sachs Asset & Wealth Management is an opportunity to help clients across the globe realize their potential, while you discover your own. Bringing together traditional and alternative investments, Goldman Sachs Asset & Wealth Management provides clients around the world with a d
The ideal candidate will also have an extensive background in finance, excellent communication abilities, and the capacity to work collaboratively in a proactive environment. A leading financial services firm in Chicago is seeking an Investment Director to raise capital from US institutional investo
Ideal candidates will have a college degree in finance, with 7-10 years of commercial lending experience. A prominent bank in Illinois is seeking a Vice President to oversee commercial loan origination and underwriting.
Vice President, Risk Management - Multifamily Credit Risk. As a Vice President in the Risk Management - Multifamily Credit Risk team, you will leverage your credit training and previous experience with Fannie Mae and Freddie Mac multifamily loans to assess the creditworthiness of clients, properties
The Portfolio Specialist will have expert knowledge of Goldman's entire platform -- Mutual Funds, ETFs, SMAs, Alternatives, model portfolios and customization capabilities, portfolio analytics toolsets, UMA technology partners, transition management, Custody platforms, etc. Role Overview The Portfol
Bringing together traditional and alternative investments, Goldman Sachs Asset & Wealth Management provides clients around the world with a dedicated partnership and focus on long-term performance. As part of one of the world's leading asset managers with over $2 trillion in assets under supervision
Deliver the full set of Goldman Sachs Asset Management's solutions in the context of a multi-asset portfolio through client meetings, scaled in-person and digital events. Identify and directly cover the best opportunities with a focus on financial advisor practice management and multi-asset portfoli
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
As a Lead Credit Officer within Risk Management and Compliance, you will be responsible for analyzing commercial loans to prospects/existing customers, collaborating with banking partners, and structuring transactions that are consistent with our company's policies and procedures. Actively take full
This professional is responsible for all aspects of portfolio management including transaction structuring, underwriting, credit approval, portfolio monitoring and problem loan identification for a portfolio that may consist of core Asset Based Lending (ABL), retailers and lender finance clients. As
As a leading Alternatives institutional manager (over $200B AUM globally across real estate, infrastructure and real assets, private equity, private credit and hedge funds) and a leading asset manager for U. In this role you will be a leading member of the real estate wealth team responsible for gr
AXA XL provides customized risk management programs for major businesses and institutions operating in the U. AXA XL, the P&C and specialty risk division of AXA, is known for solving complex risks. We're looking for someone who has these abilities and skills: Moderate to extensive underwriting large
Goldman Sachs Private Wealth Management (PWM) specializes in creating comprehensive wealth management plans for ultra high net worth individuals and families, as well as select institutions, including foundations and endowments. Establish, nurture and grow client relationships by acting as a trusted