Bloomberg Vault Inside Sales Representative
Bloomberg Vault Inside Sales RepresentativeJob Requisition Number: 37318United StatesNew York – USAThe Group:Since the launch in 2010, Bloomberg Vault has been adopted by more than 550 enterprises, managing petabytes of enterprise communications, social media, voice, mobile, and file-based data – letting clients reduce both regulatory risk and operational overhead. As a reflection of the rapid market adoption, Gartner Research recently ranked Bloomberg Vault as a challenger in the 2012 Enterprise Information Archiving Magic Quadrant. Bloomberg Vault is part of Bloomberg Enterprise Solutions that Read more […]
Compliance Officer Job
Compliance Officer (Job Number: 1309471)DescriptionAML/KYCManages specialized compliance efforts for the Company as they relate to complex analytic regulatory requirements, programs and project development. Conducts detailed analysis of existing/proposed regulation, and industry practices within specialty areas of expertise and helps business develop implement procedures to meet these requirements. Validates specialized control processes to ensure compliance with governing laws and rules. Partners with business managers to respond to findings of regulators and/ or auditors. Manage specialized Read more […]
Credit Risk Policy & Procedure Officer Job
Credit Risk Policy Procedure Officer (Job Number: 1304512)DescriptionThe Credit Risk Policy and Procedure Officer ( CRPP) is responsible for creating new or revising existing credit risk policies and procedures to support the activities and operations of the various credit risk portfolios and business units of Credit Risk. Policies and procedures are, in most cases, based on regulatory or legal guidelines and best practices. The CRPP ensures Credit Risk policies are in align with the Company’s Corporate Policies, requirements and expectations that govern and direct business operations. The Incumbent Read more […]
FMTS KYC Specialist Job
FMTS KYC Specialist (Job Number: 1307502)BNY Mellon is a global financial services company focused on helping clients manage and service their financial assets, operating in 36 countries and serving more than 100 markets. BNY Mellon is a leading provider of financial services for institutions, corporations and high-net-worth individuals, providing superior asset management and wealth management, asset servicing, issuer services, clearing services and treasury services through a worldwide client-focused team. BNY Mellon is the corporate brand of The Bank of New York Mellon Corporation. Additional Read more […]
Auditor II Job
Auditor II (Job Number: 1303941)DescriptionPerforms high quality, risk-focused fieldwork, in accordance with Internal Audit or Credit Risk Review policies, methodologies, and standards in order to identify meaningful issues, risks and other exposures in the area of the company being audited. The position may require specialist skills if, for example, the auditor is being hired for Technology, Credit Risk Review, Professional Practices or has a targeted role such as quantitative analysis or programming. Shadowing and deputizing for Auditor lll, in preparation for managing audit projects and conducting Read more […]
Manager, Operations and Risk
Institutional Banking Markets (IBM) is responsible for the provision of products and services to nearly 3000 major corporate, institutional and government clients. This is achieved through origination, structuring and execution of on and off balance sheet products that are enhanced through the efficient application of taxation, accounting, risk and capital management technologies. Institutional Banking Markets is the primary face to the market for all complex financing and advisory functions for the Bank’s corporate and government clients. Corporate Banking Solutions (CBS) delivers dynamic Read more […]
Executive General Manager
APRA invites applicants for the senior role of Executive General Manager (EGM) of its Supervisory Support Division (SSD).One of four EGMs based at APRA’s Head Office in Sydney, this role reports directly to APRA’s Executive Group (the Chairman, Deputy Chairman and Member) and is a key member of the executive management team. Each EGM is expected to be capable of effectively contributing in any of the four areas of responsibility. The role immediately available is Executive General Manager SSD, which leads a division of 130 professional staff in Sydney and APRA’s interstate offices. The Read more […]
Quantitative Risk Analyst Job
Quantitative Risk Analyst (Job Number: 1309003)DescriptionDescription: This position is responsible for developing, maintaining and validating risk models for quantifying various types of financial risks (such as operation risk, credit risk market risk and interest rate risk) inherent in the Corporation’s business activities and processes. These models calculate values at risk or economic capitals that are reported to Senior Management and the Board of Directors on a regular basis as a key input to risk management decision making. Models must use methodologies that are theoretically sound, with Read more […]
OTC and Listed Clearing Lawyer
Position Description Job description overviewCoverage lawyer in the sales and trading team providing broad coverage focusing on (i) OTC and Listed clearing initiatives, (ii) related European regulatory changes (including with respect to EMIR); (iii) covering the Firm’s platforms for clearing services for OTC and Listed products; and (iv) supporting the Firms Global Network Management division (which is responsible for maintaining the Firm’s network of agent banks, custodians, depositaries, clearing houses and exchanges and all aspects of clearing and settlement of Firm and client trading activity) Read more […]
Senior Compliance Officer, Compliance Operations/Non-UK
Position Description The individual’s key responsibilities will include support for regulatory interactions in the UK and across the EMEA region, management of a variety of UK-based and international projects, and ownership of various operational functions within the Compliance Department, such as the EMEA Compliance Plan, Risk Assessment and Compliance management information.Responsibilities• Contact with regulators o Provide support in managing relationships with the Firm’s regulators.o Co-ordinate with internal departments on regulatory submissions, including oversight of responses to thematic Read more […]
