RISK INTEREST RATE RISK jobs in CITY OF YORK, United Kingdom #9

a clear and concise manner Functional knowledge related to asset-liability management, interest rate risk, funding... Manager - Financial Services - Risk Management - Liquidity Treasury Services Are you passionate about what is driving...

EY

management, FX/interest rate risk hedging, optimize global banking architecture (cash pooling/netting), re-design Treasury... compliance materials/certificate, cash flow forecasting, corporate risk management (insurance) renewals, broker and claims...

Revlon

a principled and optimized manner within the Firm risk limits Support the Franchise by providing prices to clients in FX and Rate... spot, FX swaps, interest rate swaps and cross currency basis swaps Knowledge of FX options and other structured products...

Lloyds Banking Group

, and hourly (no flat rate!). The primary responsibilities of the position consist of, but are not limited to: Performing...; Occasionally will work in wet or humid conditions (non-weather), extreme cold and heat (non-weather), risk of electrical shock...

Alta Equipment Group

. We are proud that Uncommon graduates persist in and graduate from college at five times the rate of their peers nationally... comprehensive project plans that identify clear milestones, dependencies, assumptions; handles risk contingencies; and provides...

Uncommon Schools

derivative options to hedge interest rate risk on floating rate loans. Coordinate and negotiate derivative documents in...Along with its affiliate companies, Affinius Capital invests across the risk spectrum for a global client base...

USAA Real Estate

) Supervisory status No Security clearance Drug test No Position sensitivity and risk Trust determination process... Government's interest. Pay-Band (NF or CY) Allowances and Differentials This is a pay-banded position. Sunday premium pay may...

Federal government of the United States

& restructurings and liability management; Coordinate with investment banking coverage, interest rate/FX risk management to provide... and pitching. Job responsibilities: Monitor global rate and credit market dynamics and how they affect our clients' debt...

JPMorgan Chase

rate models), capital market and derivative products (e.g. interest rate swaps, cross currency swaps, options... and Risk management in model creation, methodology and testing documentation, validation and remediation, signoff, maintenance...

Mizuho Bank

to eventually understand credit, interest rate, and market risk associated with consumer asset backed CUSIPs. In addition... CUSIPs Managing daily Risk & P&L position of the desk Working with different clients on various trading opportunities...

Goldman Sachs

Treasury organization is responsible for managing funding, liquidity, balance sheet, and interest rate risk for MUFG...’s U.S. operations. The team partners across multiple lines of businesses, finance, risk and audit functions to develop funding...

MUFG

), Interest Rate Products, Securitized Products, Credit and Municipals. Product Controllers are responsible for the monitoring... Risk) Collaborate with FP&A team on budget planning and revenue forecasting. Working with Operations and Finance...

Mizuho Bank

and approval of interest rate, foreign exchange, and credit derivative trades being proposed and executed by government, corporate... activity relates to managing risk on the back of M&A, financing and / or other strategic initiatives, along with day-to-day...

Goldman Sachs

and approval of interest rate, foreign exchange, and credit derivative trades being proposed and executed by government, corporate... activity relates to managing risk on the back of M&A, financing and / or other strategic initiatives, along with day-to-day...

Goldman Sachs

, Operations provides essential risk management and controls to preserve and enhance the firm's assets and its reputation.... With the continued high rate of change in the regulatory reporting space, Regulatory Operations professionals have the platform...

Goldman Sachs

with a wide array of risk management products, including interest rate, currency, commodity, and credit derivatives, providing... various M&A alternatives (c) designing derivatives to help entities meet tactical and strategic risk-management objectives...

Goldman Sachs

a quantitative or technical discipline Understanding of basic financial maths concepts, e.g. Interest rate differentials; carry... products on exchanges around the world, raise funding, and manage risk. This is a dynamic, entrepreneurial team with a passion...

Goldman Sachs