Populus Financial Group is seeking a Director of Credit Risk Management, a strategic and analytical leader responsible for shaping and executing Populus Financial Group's enterprise credit risk strategy across all lending portfolios. Develop and execute a strategic roadmap for credit risk management
Develop management reporting, reporting dashboards, and strategic tools to provide transparency on operational risks and management metrics. Founded in 1869, we are a leading global investment banking, securities and investment management firm. We are seeking an experienced Analyst or Associate to j
M&A, private equity, capital markets, securities, finance, and investment funds. M&A • Private Equity • Capital Markets • Securities • Finance • Funds. Deep cross-selling across litigation, regulatory, tax, and finance.
This individual will lead the financial reporting team and serve as a business partner to finance, tax, and treasury functions. Collaborating with legal, finance, tax, treasury, and asset operations teams to ensure alignment and integrity of financial reporting. Leading and driving internal and exte
Do you have a deep subject matter expertise and a passion for risk management? We're looking for a professional to join Corporate Treasury Divisional Risk & Governance team specifically focused on the risk within the Corporate Treasury area, who can proactively hunt for and monitor risk across the b
If you are looking to leverage your knowledge of investment management in a new and innovative way, Deloitte's Partnership Solutions Group (PSG) may be the place for you! Come be part of a group that sets the standard for investment management tax technology and provides tax compliance and consultin
Produce risk reporting and metrics to provide timely management information to business management on issues, control deterioration and remediation status; monitor metrics across the business. As part of TxB's global risk team, you will help lead and manage audit and regulatory engagements across mu
Founded in 1869, we are a leading global investment banking, securities and investment management firm. Experience in credit analysis, corporate finance, or a related financial services field is a bonus. Collaborate effectively with deal teams, credit risk management and clients throughout the trans
As part of TxB's global first line of defense risk team, you will be involved in supporting TxB's comprehensive risk management program with a focus on financial crime and other compliance related risks. Bachelor's Degree plus 1-2 years of professional experience in a financial crime risk management
Founded in 1869, we are a leading global investment banking, securities and investment management firm. Equity Research focuses on company-specific research and analysis. Minimum 2 years of experience in investment research, financial modeling and analysis.
As a Hedge Fund Credit Risk Analyst on the Commercial and Investment (CIB) Credit Risk Management Team, you will be responsible for managing counterparty credit exposure to a client base consisting of hedge funds and other alternative managers employing a diverse set of investment strategies. Manage
The Corporate Planning & Management (CPM) division integrates financial planning, spend management, third-party risk management, product management and engineering teams to support strategic decisions across the firm. Founded in 1869, we are a leading global investment banking, securities and invest
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. Analyst Position In Consumer & Retail Investment Banking Division. As an Analyst in the Consumer & Retail
Produce risk reporting and metrics to provide timely management information to business management on issues, control deterioration and remediation status; monitor metrics across the business. Prior work experience Transaction Banking, Commercial Banking, or Payments organization. As part of TxB's g
Do you have a deep subject matter expertise and a passion for risk management? We're looking for a professional to join Corporate Treasury Divisional Risk & Governance team specifically focused on the risk within the Corporate Treasury area, who can proactively hunt for and monitor risk across the b
Ensure conformity with company/group/regulatory policies and procedures; monitoring investment portfolio performance, risk of impairment or loss and risk rating accuracy. Knowledge and understanding of Community Reinvestment Act (CRA) investment field: low-income housing tax credits, new market tax
As a Hedge Fund Credit Risk Analyst on the Commercial and Investment (CIB) Credit Risk Management Team, you will be responsible for managing counterparty credit exposure to a client base consisting of hedge funds and other alternative managers employing a diverse set of investment strategies. Our cu
Evaluate credit risk aspects of private equity fund and NBFI counterpart financial performance and ratings profiles, focusing on the credit and financial strength of counterparts, performing fundamental credit analysis using both quantitative and qualitative factors. Functional Expertise and Technic
CTC Risk is also responsible for the independent risk management of Firmwide Liquidity Risk, Interest Rate Risk, and Capital Risk. Chief Investment Office, Treasury and Corporate (CTC) Risk Team:. As a risk manager in our Commercial & Investment Bank, you'll help manage our financial reputation and
Produce risk reporting and metrics to provide timely management information to business management on issues, control deterioration and remediation status; monitor metrics across the business. Prior work experience Transaction Banking, Commercial Banking, or Payments organization. As part of TxB's g