Risk Management Analyst Jobs
By Fontainebleau Development At Miami-Fort Lauderdale Area, United States
Ensure the organization's risk management practices adhere to legal and regulatory requirements.
Proven experience in risk management, insurance, or a similar analytical role.
Professional certifications in risk management or insurance (e.g., ARM, CPCU) are a plus.
Prepare comprehensive reports and presentations for senior management, highlighting risk exposures and proposing risk mitigation measures.
Work closely with operational teams to implement risk management best practices and preventive measures.
Stay up to date with relevant laws, regulations, and industry standards related to insurance and risk management.
Analyst - Portfolio Management
By ING At New York, NY, United States
BA/BS in finance/economics/accounting/management/engineering (or similar); CFA a plus
· At least 1 year of relevant experience credit/accounting/business analytics/project management/portfolio reporting and/or KYC/Compliance.
You are able to manage and prioritize competing demands from multiple colleagues simultaneously
Main Duties and Responsibilities of Role:
· Excellent presentation and communication skills
· Excellent Microsoft skills (Excel, Powerpoint, Word)
Analyst, Risk Management Jobs
By Royal Caribbean Group At ,
Evaluate and manage Tour Operator compliance with insurance requirements, while working in conjunction with third party vendor CheckCOI.
2-3 years of related financial analysis or an appropriate combination of education and experience.
Able to interact effectively with various levels of management and handle multiple priorities/tasks.
Bachelor’s Degree from an accredited University in Accounting or Finance is required.
Strong technical, analytic, problem solving and communication skills (both written and verbal)
Excellent PC skills with proficiency in Word, Excel, PowerPoint, Visio, etc.
Risk Management Analyst Jobs
By Principal Financial Group At , Des Moines, 50392 $51,000 - $98,400 a year
Strong Employee Benefit, and Trust and Custody knowledge as evidenced by 4+ years of relevant experience preferred.
Liaison for Audit/regulatory/risk management/compliance reviews
Interact with business units to formulate solutions to issues identified during audit/regulatory/risk management/compliance reviews.
Ability to work/communicate effectively with business partners/management.
Review of system coding to ensure it reflects the responsibilities assumed by PCS in legal agreements.
Ongoing special responsibilities/projects, including stale asset pricing.
Portfolio Management Analyst Jobs
By Barksdale Investment Management At Nashville, TN, United States
·Some experience in fixed income management or a desire to specialize in the asset class.
·Strong organizational and project management skills
·Product Specialistfor Core/Core Plus, Short Duration/Cash Management, and credit sectors
·Excellent communication skills and comfort building presentations
·A team player with good interpersonal skills
·Maintain peer comparisons, industry insights and general trends.Communicate important industry events internally.
Portfolio Management Analyst Jobs
By Harmer At Chicago, IL, United States
Experience with DCF and LBO models is preferred.
Requires bachelors degree in accounting, finance, or economics.
Rare opportunity to break into the private credit space.
This role will focus on due diligence and monitoring performance of a portfolio of cash-flow loans.
Only Available to candidates with US Citizenship or active Green Card Holders.
Analyst, Portfolio Management Jobs
By CIBC US At New York, NY, United States
Support deal team leaders, as and when required by Management, in execution and monitoring process of complex transactions.
Track on time delivery of Borrower’s reporting obligations, coordinate review of Budgets, Op Reports, Financials, Risk Ratings etc with Risk Management
In coordination with Manager, respond to requests from internal and external Auditors and Bank Examiners
Requires strong work ethic, with attention to detail and creative problem-solving and excellent customer service/relationship skills
Strong analytical skills with a proven history of successfully evaluating credit risk.
A Bachelor’s degree is required with a focus in finance or economics. MBA or Engineering background is a plus.
Payments Fraud And Risk Analyst - Remote (Us)
By HubSpot At United States
Proven experience in payments risk management, fraud prevention, or a related field
Strong knowledge of payment systems, industry standards, and emerging trends in payment risk management
Professional certifications in risk management or fraud prevention (e.g., CFE, CRISC, CAMS)
Strong communication and interpersonal skills, with the ability to collaborate effectively with cross-functional teams
Familiarity with regulatory requirements and compliance frameworks in the payments industry
Experience with fraud prevention technologies, machine learning, and data analytics tools is highly desirable
Risk Management Analyst Jobs
By Subaru of America At Camden, NJ, United States
Bachelor's degree or equivalent work experience required; concentration in Risk Management, Finance, or Accounting preferred.
Assists Risk Management Vehicle Administrator with the management of Risk Management loaner and rental fleet.
Competent experience in Microsoft Office Suite (Word, Excel, Outlook).
Experience with Origami RMIS, or similar system, preferred.
Strong analytical skills, as well as process-oriented with strong attention to detail and deadlines and ability to work independently.
Strong verbal and written communications skills.
Analyst, Risk Management Jobs
By LPL Financial At San Diego, CA, United States
Support development and maintenance of core risk management standards and frameworks
BA/BS degree in Finance, Accounting, Business, or Economics (or a related discipline)
Strong Microsoft Office Excel and PowerPoint skills
Strong written and oral communication skills
Strong analytical thinking and problem-solving skills
Assist with historical analysis and graphical or other data visualizations to support the development of limits and thresholds
Analyst I, Portfolio Management
By Resurgent Capital Services At Greenville, SC, United States
Orientation for detail, coupled with organizational and project management skills
Acquires and maintains a working knowledge of existing business processes, servicer performance metrics, scorecard methodologies, and reporting
May travel to servicers with performance managers in order to assess new strategies, systems, or understand strategy adoption
1-4 years of experience in a related position preferred
Advanced skills in Excel (charts, formulas, pivot tables) required
Strong business communication skills with an ability to work well in a collaborative environment
Portfolio Management Analyst Jobs
By The Horizon Group At New York City Metropolitan Area, United States
1-5 years of professional experience in investment operations, portfolio management, fund administration, banking, or related roles.
Ability to adapt to new portfolio management software and systems.
Collaborate with investment teams and portfolio managers to provide operational support, including trade execution and compliance monitoring.
Identify potential operational challenges and process improvements, utilizing analytical skills to enhance efficiency.
Experience in analyzing investment performance and preparing reports and presentations.
Bachelor's degree or equivalent qualification.
Management Portfolio Analyst Jobs
By Michael Page At New York, United States
2-4 years of professional experience in investment operations, portfolio management, fund administration, banking,
Competitive compensation, fast growing insurance company |High quality company culture & benefits
Collaborate with investment teams and portfolio managers to provide operational support, including trade
Strong attention to detail and organizational skills with ability to work independently and multi-task in a complex
Excellent communication skills, both verbal and written, and ability to think critically.
Experience in analyzing investment performance, risk metrics, portfolio analytics, and preparing reports and
Risk Operations Specialist | Portfolio Risk Management
By Ramp At Miami, FL, United States
Minimum 2 years of experience in Credit Risk Management or Underwriting
Experience within consumer/corporate/small business cards, payments, invoices, lending, or related industries
Excellent written and verbal communication skills
Investigative and critical thinking skills
Experience in high growth startups
Experience building complex financial products
New Grad 2023 | Risk Operations Specialist | Portfolio Risk Management
By Ramp At New York, United States
Experience in Credit Risk Management or Underwriting
Excellent written and verbal communication skills
Investigative and critical thinking skills
Experience in financial statement reviews and/or underwriting
Experience in customer support via email
Experience in high growth startups
Portfolio Management Analyst Jobs
By Reputable Staffing, Inc. At New York, NY, United States
Candidate will interact closely with a variety of functional teams including portfolio finance, asset management, acquisitions/development, research & marketing/client service
Prepare Fund overview decks, analyses & memorandums for senior management & investors
Strong writing & financial analysis skills; high competency in preparing & delivering memorandums, analytical reports & data charts
Highly proficient in Microsoft Office, especially Excel, Work & PowerPoint; Argus experience
Investment performance & financial analyses for portfolio assets & new investments;
Maintain & construct proprietary Fund financial models;
It Consultant I Risk Portfolio Management
By Kaiser Permanente At , Greenwood Village, 80111, Co $93,000 - $120,230 a year
Minimum two (2) years experience in risk management, governance, compliance, or security.
Project Management Professional (PMP) or other comparable certification.
Identifies the impact of requirements on upstream and downstream solution components.
Provides recommendations to team or department leadership on how to integrate requirements with current systems and business processes for assigned domain(s).
Supports solution design by researching how to help translate requirements into workable business solutions.
Two (2) years experience working for a health care organization
Manager, Consumer Risk Portfolio Management
By BMO Harris Bank At , Chicago, 60606, Il
Designs, develops, and implements reporting solutions to meet management and regulatory reporting requirements.
In-depth knowledge of risk management metrics, KPIs and KRIs.
In-depth knowledge of risk management theory, processes and portfolio management reporting techniques.
Deep knowledge and technical proficiency gained through extensive education and business experience.
Coordinates the management of databases; ensures alignment and integration of data in adherence with data governance standards.
Provides input into the planning and implementation of ongoing operational programs in support risk reporting management framework.
Analyst, Risk Management Jobs
By Bellwether Asset Management, Inc. At El Segundo, CA, United States
Help coordinate risk management program across our corporate platform and a portfolio of diverse real estate investments
Coordinate risk management processes and drive risk management culture cross-functionally and enterprise wide
Ability to prioritize tasks, work on multiple assignments and manage rapidly changing assignments in a team environment
Strong analytical skills and detailed oriented
A bachelor's degree is required with 2 – 3 years of experience
Obtain and track renewal certificates, invoices, policies and endorsements
Jr. Portfolio Management Systems Business Analyst
By Enfusion At New York, NY, United States
Work closely with our client experience and account management team to utilize product expertise for advanced and escalated client support requests
Work with our Business Development team to gather and assess portfolio management requirements
Experience with asset management accounting software is a plus
Understanding of hedge funds/asset management portfolio operation workflows
Strong analytical and problem-solving skills
Experience with financial numerical calculation modules like FinCAD, Numerix, etc is a plus