...& Wealth Management A career with Goldman Sachs Asset & Wealth Management (GSAM) is an opportunity to help clients across the globe realize their potential, while you discover your own. As part of one...
...risk functions, helping you build a deep understanding of the bank’s balance sheet, funding strategy, and risk‑management practices across the region.A Day in the Life of a Market & Liquidity Risk Ana...
...& Monitoring Regulatory/Internal Reporting Compliance Training & Awareness Internal/External Communication About you: Bachelor or Master degree in law or related field Around 2 to 3 years of experienc...
...risk functions, helping you build a deep understanding of the bank’s balance sheet, funding strategy, and risk‑management practices across the region.A Day in the Life of a Market & Liquidity Risk Ana...
...& Wealth Management A career with Goldman Sachs Asset & Wealth Management (GSAM) is an opportunity to help clients across the globe realize their potential, while you discover your own. As part of one...
...& Liquidity Risk Analyst to analyze risks in the corporate lending portfolio. This role involves working with advanced models, regulatory methodologies, and directly contributing to strategic risk dec...
...Risk Analyst for their Modeling & Data Analytics team. Responsibilities include driving improvements in credit risk models, model monitoring, and collaboration across departments. Ideal candidates hav...
...Risk Analyst to enhance credit risk models and participate in significant projects related to mortgage loans. The ideal candidate will have at least 2 years of relevant experience, strong programming ...
...risks, interacting with stakeholders for documentation, and providing support in investigations related to financial crime. Ideal candidates will have a bachelor's degree, strong analytical skills, an...
...risks, perform client due diligence, and collaborate closely with various teams. Exceptional analytical skills and attention to detail are essential for success in this dynamic environment.#J-18808-Lj...
...quantitative Credit Risk models (e.g. PD, LGD, EAD) Application of the most common approaches for segmentation, definition of default, model estimation, model performance, model calibration and model ...
...Risk/XVA Business Analyst/Configurator ABOUT YOU You are a highly skilled Murex Risk/XVA Business Analyst/Configurator with extensive experience working across risk, valuation adjustments, and regulat...
...risk & Compliance Core banking or lending Business Analysis experience: Proven track record in at minimum two domain related projects and a total of 3-5 years of experience preferably in: Digital Tran...
...Risk Analyst to enhance credit risk models and participate in significant projects related to mortgage loans. The ideal candidate will have at least 2 years of relevant experience, strong programming ...
...& Liquidity Risk Analyst to analyze risks in the corporate lending portfolio. This role involves working with advanced models, regulatory methodologies, and directly contributing to strategic risk dec...