Focus on managing the firm’s outbound calling program and business development efforts. Responsible for managing the outbound calling group of analysts and associates. 3+ years in a sales management role.
Responsible for establishing and overseeing the compliance methodology for the business-aligned compliance teams. Strong educational background. 3+ years work experience within an internal control or compliance testing role.
Sit within one of the most successful CRM groups within the firm and will have a dotted reporting line into the head of risk analytics. 2+ years experience within the credit risk model development space.
Constantly be involved with senior management and your advisory input and participation. Understanding of FX derivative modelling. Mid-level working experiences in capital markets as risk analyst, strategist, or asset allocation specialist.
Execution of the program of audit coverage for North America rates, securitized products and public finance businesses, as well as some commodities coverage. Bachelor’s degree in accounting, finance, or related discipline. 7+ years of experience in a financial services firm or in public accounting, with an appropriate level of exposure to and involvement with the products related to these businesses.
Participate in project planning sessions with project managers, business analysts and team members to analyze business requirements and outline the proposed IT solution. Computer science, engineering, math, physics, or information technology degree. 2+ years of IT work experience.
Responsible for providing direction and leadership in coordinating and monitoring financial reporting activities to ensure on time and accurate creation of financial statements, regulatory reports, and fund distributions. 10+ years in the mutual funds industry, with a 7+ in financial reporting.
Update/ create financial models related to coverage companies, as well as market segments such as PCs, tablets, storage, and servers. 2+ years of financial services or corporate strategy/ business development experience.
Support CPG business users across financial and product control group, portfolio managers and traders. Strong Java and JSP design, programming and tuning skills. Strong database modelling skills and experience.
Work with the treasury cash managers to meet the firm’s short term funding requirement for bank accounts in Asia. Monitor day-to-day cash receipts and payments particularly in stringent regulatory markets. University degree holder.
Focus on managing the firm’s outbound calling program and business development efforts. Responsible for managing the outbound calling group of analysts and associates. 3+ years in a sales management role.
Responsible for establishing and overseeing the compliance methodology for the business-aligned compliance teams. Strong educational background. 3+ years work experience within an internal control or compliance testing role.
Sit within one of the most successful CRM groups within the firm and will have a dotted reporting line into the head of risk analytics. 2+ years experience within the credit risk model development space.
Constantly be involved with senior management and your advisory input and participation. Understanding of FX derivative modelling. Mid-level working experiences in capital markets as risk analyst, strategist, or asset allocation specialist.
Execution of the program of audit coverage for North America rates, securitized products and public finance businesses, as well as some commodities coverage. Bachelor’s degree in accounting, finance, or related discipline. 7+ years of experience in a financial services firm or in public accounting, with an appropriate level of exposure to and involvement with the products related to these businesses.
Participate in project planning sessions with project managers, business analysts and team members to analyze business requirements and outline the proposed IT solution. Computer science, engineering, math, physics, or information technology degree. 2+ years of IT work experience.
Responsible for providing direction and leadership in coordinating and monitoring financial reporting activities to ensure on time and accurate creation of financial statements, regulatory reports, and fund distributions. 10+ years in the mutual funds industry, with a 7+ in financial reporting.
Update/ create financial models related to coverage companies, as well as market segments such as PCs, tablets, storage, and servers. 2+ years of financial services or corporate strategy/ business development experience.
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