Team Overview: Effectively control the risks associated with business activities via the execution of the firm's Enterprise Risk Management framework for identifying, assessing, treating, mitigating, monitoring, reporting, and escalating risks, with a specific focus on AI-related risks (including generative AI and agentic AI related risks).. Understands and advises the team on division processes, historical risk results, firm policies/programs, including all Enterprise Risk Management Program Framework and Standards, particularly in the context of AI. Understanding of AI bias detection, explainability tools (SHAP, LIME), and model validation techniques. Familiarity with programming languages used in financial modeling (Python, R, SQL) and cloud AI solutions (AWS, Azure.. Background in quantitative finance, algorithmic auditing, or regulatory AI risk assessments
Model Risk Governance manager leads the operation of model risk governance program within City National Bank's (CNB's) Enterprise Risk Management (ERM) program.. As a member of a dynamic team, MRGA is responsible for managing day-to day operational and tactical aspects of multiple projects in support of the model risk management group, including model validation governance, upkeep of governance documentation and model risk reporting.. This position will work collaboratively with Enterprise Model Risk Management Governance team and will report to Manager of CNB Model Risk Management Group.. Proven track record of strong technical model development, model management, and/or model oversight in one or more of the following areas: credit risk management, market / interest rate risk management, economic capital estimation, and valuation.. Programming experience with software applications such as SAS, R, SQL, VBA a plus
OTC Interest Rate and Credit Derivatives Analyst. 95-K + Bonus + Paid Relocation Seeking an experienced OTC Interest Rate and Credit Derivatives Analyst to ensure accurate processing and maintenance functions are completed in a timely manner following established departmental procedures.. Draft and review ISDA paper confirmations for Interest Rate products.. Ensure compliance of all documentation with ISDA and market practice.. Expertise in ISDA Interest Rate Derivatives Definitions.
As we continue to expand, we are looking for a Senior Accountant who embodies our core values of growth, relationships, hard work, and reliability to contribute to our high-quality building solutions.. Job Costing and Project AccountingManage job costing processes, including tracking labor, material, subcontractor, and equipment costs.. Accounts Management and ComplianceOversee accounts payable and receivable, ensuring timely invoicing, payments, and account reconciliations.. Support payroll accounting, subcontractor compliance, lien releases, and certificate of insurance tracking.. Financial Planning and Operational SupportContribute to budgeting, forecasting, and cash flow projections in coordination with the CFO.Implement and maintain internal controls and identify opportunities for process improvements.
Description Company: Oxford Life Insurance CompanyOxford Life Insurance, a division of U-Haul International, is seeking a talented Investment Accountant for the Investments department of Oxford.. Consistent with applicable state law, U-Haul will not hire or re-hire individuals who use nicotine products.. The states in which U-Haul will decline to hire nicotine users are: Alabama, Alaska, Arizona, Arkansas, Delaware, Florida, Georgia, Hawaii, Idaho, Iowa, Kansas, Maryland, Massachusetts, Michigan, Nebraska, Pennsylvania, Texas, Utah, Vermont, Virginia, and Washington.. U-Haul has observed this hiring practice since February 1, 2020 as part of our commitment to a healthy work environment for our team.. U-Haul is an equal opportunity employer.
Anchor Health Properties, a national full-service real estate development, management, and investment company, is seeking a Vice President of Asset Management to join their team.. The primary function of the Vice President of Asset Management is to strategically execute the business plan for each managed asset – involving direct responsibility for the leasing, strategy and financial performance of an allocated portion of Anchor’s medical office property investments portfolio, predominantly located in the Western United States.. Supervise designated Asset Managers and Asset Manager Associates as direct reports in the Western Region portfolio.. Ensure strategies are in place for the timely lease-up of vacant space.. Experience of at least 12 years overseeing a portfolio of commercial real estate assets, with a preferred focus on medical office or similar projects.
The Director of Financial Planning & Analysis (FP&A) is a key member of the Finance organization and is responsible to oversee all aspects of financial planning, forecasting, and strategic analysis within our manufacturing operations.. Reporting to the CFO, the Director of FP&A will interface with all members of the company’s leadership team and with all company functional areas, including manufacturing, IT, and business development, as well as with others.. The Director of FP&A will work closely with the Company’s VP, Controller and the operational teams to refine and support an effective environment of financial planning and controls.. Act as a strategic finance partner to operations, supply chain, and plant leadership teams.. Proficient in financial software with high level Excel skills, Power BI experience a plus
We are looking for an SVP of IA Compliance to be responsible for all aspects of the investment adviser compliance program across Osaic’s independent and hybrid wealth management channels.. The SVP will manage a successful and experienced Compliance team and will report to the Chief Compliance Officer of Osaic.. Responsible for maintaining and enhancing 206(4)-7 compliance program, investment advisory policies and procedures, and the delivery of required regulatory filings (Form ADV, CRS, 13F, 13G).. Series 65/66 license required, FINRA Series 7 and 24 registrations preferred.. Advanced understanding of ERISA as it applies to retail advisory business a plus.
Communicate through Zoom, email and phone to build strong relationships and provide a level of service that JP Morgan Chase customers have learned to expect.. Comprehensive knowledge of Treasury Services and/or Custom Card products. Bachelor of Science or Business Administration Degree. 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.. Those in eligible roles may receive commission-based pay and/or discretionary incentive compensation, paid in the form of cash and/or forfeitable equity, awarded in recognition of individual achievements and contributions.
Job Description:We are seeking an experienced Principal GRC Analyst to join our dynamic and evolving Governance, Risk, and Compliance team.. Support the vendor risk management process by evaluating third-party vendors and partners to identify and assess potential risks.. Demonstrated experience in cyber governance, cyber risk, and compliance in a dynamic and complex business environment.. Preferred Qualifications:Experience in the semiconductor or high-tech manufacturing sector.. Familiarity/proficiency with GRC software tools and platforms to streamline risk assessments, compliance monitoring, controls testing, and corrective actions.
Job Title : Staff Engineer II - ServiceNow Developer. Your focus will be on IT Service Management (ITSM), IT Asset Management (ITAM), IT Operations Management (ITOM), and Configuration Management Database (CMDB).. IT Service Management (ITSM) : Develop, configure, and maintain ServiceNow ITSM applications, including incident, problem, change, and request modules.. IT Asset Management (ITAM) : Manage ServiceNow ITAM applications for asset tracking, inventory, and compliance.. Experience with Azure DevOps, managing multiple projects, and leading cross-functional teams.
Chief Compliance Officer (CCO). The CCO will play a critical role in shaping and maintaining a robust compliance framework that supports our mission and mitigates risks associated with regulatory and operational challenges.. Monitor and ensure compliance with federal, state, and international regulations, including aviation safety standards, environmental laws, and industry-specific guidelines.. Lead internal investigations into potential compliance violations, addressing issues promptly and effectively, and implementing corrective actions as necessary.. Bachelor’s degree in Law, Business Administration, Finance, or a related field; a Juris Doctor (JD) or advanced degree in a relevant field is preferred.
Provides full advisory services to First and Second Lines of Defense on all applicable money laundering risk, to including but not limited to the Bank Secrecy Act (BSA), USA PATRIOT Act, and U.S. Treasury AML guidelines.. Knowledge of financial institutions, corporate advisory, wholesale lending, project finance, and the structures of these transactions and relationships.. Demonstrated knowledge of investment banking products and services, including but not limited to, derivatives, swaps, project finance, commodities and structured finance, and securitization.. Transaction Banking: understands the AML risk that presents itself in the form of complex products and services, including treasury management with money and transaction movements, demonstrated knowledge of SWIFT payment processes, correspondent banking, cash management services, ACH, and other methods of electronic funds transfers including how these can be used for money laundering and the controls required for these risks.. Minimum of 5 to 7 years in banking, with a strong emphasis on BSA, AML and OFAC laws and regulations.
Discover your opportunity with Mitsubishi UFJ Financial Group (MUFG), one of the world’s leading financial groups.. - Assess risks of FMA operational controls: corporate accounting, reporting (SEC/Regulatory), purchasing and payables, corporate tax and treasury, and capital adequacy and stress testing.. - Review operational losses to ensure remediation actions are appropriate, effective and timely and recommend corrective actions to Division Risk Manager.. - Experience with PeopleSoft General Ledger, Hyperion Planning and OpenPages GRC platform and/or Archer. - Familiarity with banking regulatory requirements for treasury functions including Basel III, BSA AML, LCR, and Volcker compliance requirements is a plus
Drive the execution our Proactive Client Engagement Model by facilitating client onboarding/offboarding, preparing materials for client meetings with diligence and accuracy, and coordinating additional items needed for these events.. Bachelor's degree in business or finance and two or more years related experience in the financial services industry with high net-worth clients preferred.. Requires successful completion of the Wealth Management Specialist or Certified Wealth Strategist certification within 1 year of hire.. Additional certifications such as a CFP, CFA, CTFA, or CPA are strongly recommended to be started by the end of first year of service.. Busey's Total Rewards include a competitive benefits package offering 401(k) match, profit sharing, employee stock purchase plan, paid time off, medical, dental, vision, company-paid life insurance and long-term disability, supplemental voluntary life insurance, short-term and long-term disability, wellness incentives and an employee assistance program.
The Chief Financial Officer (CFO) is a strategic leader responsible for overseeing the financial health and sustainability of the Center.. The CFO will provide financial oversight, manage budgeting and forecasting, ensure compliance with financial regulations, and support strategic decision-making in collaboration with the CEO, Executive Director, and Board of Directors.. Manage cash flow and financial risk to ensure long-term stability.. Bachelor’s degree in Finance, Accounting, Business Administration, or a related field (CPA or MBA preferred).. Strong knowledge of nonprofit accounting principles, including GAAP and fund accounting.
Chief Financial Officer (CFO). Special tuition offers through Capella University. Routinely review revenue cycle metrics to identify and address issues affecting overall performance to include: timely collection of accounts receivable, limiting uncompensated care and achieving goals for cash collections and AR days to reduce bad debt and denials.. Actively involved in Front End Revenue Cycle processes to include: completed insurance verification on 100% of patients, working with the financial counselors to ensure proper determination of patient portions and, approval of any discounts or charity for logging of upfront collections.. Certified Public Accountant (CPA) preferred.
This role will assist the RM/BDO in initial underwriting for new pre-screen memos, coordinate loan renewals, recommend structure, create new Salesforce Opportunities, coordinate closings in addition to identifying cross-selling and referring opportunities to other Bank solution partners.. Support the Bank’s RM/BDOs in cross-selling deposit, treasury management, private banking, card services, wealth and other bank services as an additional point of contact.. Oversee loan documentation process to ensure the team’sloan documents are consistent with credit approvals and are accurately prepared, including appropriate signatures, disclosures and credit authority.. Along with the Relationship Manager/BDO, reinforce the application of a proactive outreach and marketing strategy with centers of influence and other industry leaders.. Enterprise offers a range of business and personal banking services, and wealth management services including financial planning, estate planning, investment management and trust services to businesses, individuals, institutions, retirement plans, and non-profit organizations.