-Hybrid Team Overview: We are looking for the candidate that are able to support Risk and Compliance related matters... candidate will be demonstrating a good example on both FinTech and Risk skills. Role Responsibilities: Streamlining risk...
seeking an experienced professional to join our team in the role of Audit Manager - Financial Crime Risk (FCR) Job Summary... and improvement of the effectiveness of risk management, control and governance processes. Assist in the preparation and delivery...
Line of Service Internal Firm Services Industry/Sector Not Applicable Specialism IFS - Risk & Quality (R&Q... and brand risk. The One Firm Risk Organization (OFRO) identifies and assists internal teams to mitigate and control client...
IT Risk and Compliance Specialist Objective Ensure the security and compliance of SAP and IT critical systems..., according to industry best practices. Utilize SAP GRC tools for efficient management of risk, compliance, and access controls. Support the...
Manager, IT Security Assessment and Risk Management Location: Mexico City (Hybrid) At Alcon, we are driven by the... and are looking for diverse, talented people to join Alcon. As a MANAGER, SECURITY ASSESSMENT AND RISK MANAGEMENT supporting the Information...
research capabilities and flexible technology tools, the Compliance Risk and Diligence practice helps clients take a risk-based... platform;leadership/executive vetting;sanctions screening and monitoring;country/industry risk;and bespoke inquiries. The...
Murex is a global fintech leader in trading, risk management and processing solutions for capital markets. Operating... where you can learn fast and stay true to yourself. The Risk consulting team delivers proactive, personalized support...
Lugar:
México | 21/01/2025 18:01:22 PM | Salario: S/. No Especificado | Empresa:
Murex-Hybrid Team Overview: The Risk Strategy team is responsible for developing risk strategy for our products and business... flows, including both fraud risk and credit risk, tracking industry leading technical prevalence, adopting innovative...
of financial topics, such as: modern portfolio theory, equity and portfolio construction, optimization, CAPM, multi-factor risk... models, market risk, credit risk, and VaR. · Strong analytic, quantitative, and problem solving skills. · Excellent verbal...
on their most important issues to deliver impact that makes a difference. From resolving disputes, navigating crises, managing risk...