Principal Analyst, Revenue and Commission Operations (Hybrid) Capital One Financial CorpPrincipal Analyst, Revenue and Commission Operations (Hybrid)New York, NY$120,800–$137,900 / yearThe ideal candidate will possess strong analytical and leadership skills to monitor health metrics, maintain resilient procedures, and collaborate cross-functionally to advance our payment infrastructure toward a future-state model. Candidates hired to work in other locations will be subject to the pay range associated with that location, and the actual annualized salary amount offered to any candidate at the time of hire will be reflected solely in the candidate's offer letter.
Senior Financial Analyst, Corporate FP&A CuraleafSenior Financial Analyst, Corporate FP&AStamford, CT$94,000–$104,000 / yearCuraleaf Holdings, Inc. (TSX: CURA) (OTCQX: CURLF) ("Curaleaf") is a leading international provider of consumer products in cannabis with a mission to enhance lives by cultivating, sharing, and celebrating the power of the plant. As a high-growth cannabis company known for quality, expertise and reliability, the Company, and its brands, including Curaleaf, Select, Grassroots, Find, and Anthem provide industry-leading service, product selection and accessibility across the medical and adult-use markets.
Cybersecurity Risk Analyst II Clear Secure Inc.Cybersecurity Risk Analyst IINew York, NY$119,000–$140,000 / yearExamples of reasonable accommodation include, but are not limited to, time off, extra breaks, making a change to the application process or work procedures, policy exceptions, providing documents in an alternative format, live captioning or using a sign language interpreter, or using specialized equipment. Partnering closely with Engineering, Product, Legal, Privacy, and Security teams, you'll influence risk-based decisions that protect millions of members while enabling secure innovation across CLEAR's identity platform.
Medical Device Integration Analyst Compass Group North AmericaMedical Device Integration AnalystNew York, NY$75,000–$85,000 / yearIntelas, a Compass Healthcare company, delivers smarter asset management by blending expert service teams with intelligent, data-driven strategies that help hospitals improve uptime, simplify oversight, and make more informed capital decisions. The Analyst will be collaborating with various stakeholders including but not limited to Biomedical Engineering teams, Clinical and Operational leaders, IT teams, Application Owners, and Security and Risk Management.
Manager, Quantitative Analysis - Model Risk Office Capital OneManager, Quantitative Analysis - Model Risk OfficeNew York, New YorkCurrently has, or is in the process of obtaining one of the following with an exception that the required degree will be obtained on or before the scheduled start date: A Master’s degree in a quantitative field (Statistics, Economics, Operations Research, Analytics, Mathematics, Computer Science, or a related quantitative field) or an MBA with a quantitative concentration plus 4 years of experience in quantitative analytics. As a Quantitative Analyst at Capital One, you’ll be part of a team that’s leading the next wave of disruption at a whole new scale, using the latest in cloud computing and machine learning technologies and operating across billions of customer records to unlock the big opportunities that help everyday people save money, time and agony in their financial lives.
Underwriting Quality Analyst Argo Group International Holdings IncUnderwriting Quality AnalystNew York City, NY$65,000–$93,000 / yearThe Underwriting Quality Analyst supports the underwriting quality and governance program by performing quality review support, analyzing audit and review data, maintaining reporting and documentation, and helping identify trends, root causes, and process improvement opportunities. Prepare audit metrics, quality scorecards, dashboards, reports, and presentations that summarize findings, gaps, deficiencies, and recommended workflow, procedure, or training improvements.
Market Risk Specialist ACT Commodities Group BVMarket Risk SpecialistNew York, NY$120,000–$160,000 / yearDaily monitor of market risk, stress and Value at Risk (VaR) exposures against limits and risk appetite, while remaining constantly aware of current market dynamics. The base pay range for this position is $120K- $160K annually; however, base pay offered may vary depending on location, job-related knowledge, skills, and experience.
Oracle EBS Jr. Analyst Crescens Inc.Oracle EBS Jr. AnalystNewark, NJExperience with Full Implementation Life Cycle, Support and upgrade projects in Oracle SCM/Finance modules (INV, PO, Shipping Execution, OM, ISupplier, IProcurement, Sourcing, AP, GL, FA) with excellent command over P2P cycles, GL, Inventory Management. Skillsets preferred: SQL, SQL Developer, Oracle API, XML Publisher, TOAD, PL/SQL, Workflow, Oracle Forms, Integration, Bartender, Barcoding.
Operations Analyst RSC SolutionsOperations AnalystJersey City, NJThe role involves analyzing operational workflows, identifying efficiencies, ensuring accurate processing, and supporting system and process improvements to maintain compliance and operational excellence. Analyze end-to-end Trade Finance operational processes, including Import and Export Letters of Credit and Documentary Collections, to identify gaps and efficiency opportunities.
Senior Analyst, Municipal Credit Fiera Capital Private WealthSenior Analyst, Municipal CreditNew York, NY$90,000–$110,000 / yearThe successful candidate will work closely with the credit team, portfolio managers, traders, and additional stakeholders to support investment decision-making across municipal bond portfolios. Fiera Capital is a global independent asset manager with an entrepreneurial culture and a clear vision: to deliver disciplined, high-conviction investment solutions that create lasting value for our clients.
Risk Manager Schonfeld Strategic Advisors LLCRisk ManagerNew York, NY$175,000–$275,000 / yearCollaboration: Work closely with cross-functional teams, including trading and portfolio management, to integrate risk management practices into business operations. Risk Management: Develop and implement risk management frameworks and strategies to manage and mitigate risks associated with credit products.
VP, US Equity Derivatives & Structured Products Risk Manager Jefferies Financial Group IncVP, US Equity Derivatives & Structured Products Risk ManagerNew York, NY$175,000–$200,000 / yearThe role reports directly to the Head of Derivatives US and works closely with colleagues across global Equities Risk Management, Equity Derivatives Trading and Structuring, Product Control, IPV, Finance, Technology, Model Risk, Credit Risk, Legal, Compliance, Audit, and other control functions. This includes understanding how market risk oversight connects with credit and counterparty risk, liquidity risk, operational risk, conduct risk, model and methodology governance, technology and data controls, new business review, limit governance, audit, regulatory expectations, and senior committee escalation.
Sr. Credit Risk Analyst ACT Commodities Group BVSr. Credit Risk AnalystNew York, NY$100,000–$150,000 / yearYour Expertise: To be successful in this role, we are looking for candidates with strong credit risk expertise, commercial judgement and the confidence to influence decision, along with: 5-7 years of experience in credit risk within commodity trading or a leading financial institution. Working closely with senior traders and the Global Risk Director, you will help shape our risk framework while supporting business growth in a fast-paced commodity trading environment.
Model Risk Senior Analyst - Validation [Multiple positions available] M&T Bank CorpModel Risk Senior Analyst - Validation [Multiple positions available]New York, NY$155,471.50–$165,471.50 / yearMinimum requirements: Master's degree (or foreign equivalent) in Mathematics, Statistics, Quantitative Finance, Economics, or a related field of study plus five (5) years of experience in the job offered or as a Model Validation Manager, Model Risk Management Analyst, Model Developer, or related occupation. Review and validate models used across the Bank for capital stress testing, risk measurement and prediction, pricing, profitability, credit loss forecasting, wealth management, marketing, compliance, profitability and management decision-making, and other functions as needed.
Credit Risk Model Development Quantitative Analyst II - Consumer Portfolio (Hybrid - see job description for potential work locations) M&T Bank CorpCredit Risk Model Development Quantitative Analyst II - Consumer Portfolio (Hybrid - see job description for potential work locations)New York, NY$71,600–$119,300 / yearRun regressions (including time series and logistic regression), programming routines and other econometric analyses to specify models using appropriate statistical software; communicate results, including graphic and tabular forms, to fellow team members, Treasury management and Bank-wide stakeholders, including the business lines and Risk Management colleagues to demonstrate key risk drivers and dynamics of model output. Primary Responsibilities: With experienced skillset, assist in researching and developing quantitative behavioral models used for credit risk, interest rate risk and liquidity risk management, as well as balance sheet and capital planning, including but not limited to, loan delinquency, default and loss models, loan prepayment and utilization models, deposit attrition models and financial instrument valuation methods.
VP - Sponsors Risk Solutions MUFG Americas Holdings CorpVP - Sponsors Risk SolutionsNew York, NY$180,000–$253,000 / yearAdditionally, our Total Rewards program provides colleagues with a competitive benefits package (in accordance with the eligibility requirements and respective terms of each) that includes comprehensive health and wellness benefits, retirement plans, educational assistance and training programs, income replacement for qualified employees with disabilities, paid maternity and parental bonding leave, and paid vacation, sick days, and holidays. The role requires strong technical fluency in derivatives structuring, credit considerations, legal documentation, XVA frameworks, ISDA documentation, and counterparty risk, as well as the judgment to coordinate effectively with trading, credit portfolio management, legal, operations, and relationship management teams.
Sr. Manager, Data Analyst - Network Compliance Capital One Financial CorpSr. Manager, Data Analyst - Network ComplianceNew York, NY$200,700–$229,100 / yearCurrently has, or is in the process of obtaining a Bachelor's Degree in quantitative field (Statistics, Economics, Operations Research, Analytics, Mathematics, Computer Science or a related quantitative field) plus at least 7 years of experience performing data analytics, or currently has, or is in the process of obtaining a Master's Degree plus at least 5 years of experience performing data analytics with an expectation that required degree will be obtained on or before the scheduled start date. The Network Compliance Senior Manager is a critical member of the team responsible for delivering effective challenge and compliance advice for business processes worldwide, as well as serving as a subject matter expert to ensure the development of the network compliance program at Capital One aligns with the company's broader enterprise risk management framework.
Regulatory Change Management (RCM) Operational Readiness Support Analyst NTT DATA Group CorpRegulatory Change Management (RCM) Operational Readiness Support AnalystNew Jersey, NJ$125,000–$165,000 / yearNTT DATA recruiters will never ask for payment or banking information and will only use @nttdata.com, @nttdatafed.com and @talent.nttdataservices.com email addresses. Support the design, documentation, and implementation of Regulatory Change Management (RCM) operating processes to ensure operational readiness and successful transition to Business as Usual (BAU).
Commercial Analyst Team Lead KeyCorpCommercial Analyst Team LeadNew York, NY$96,000–$181,000 / yearThe Commercial Analyst Team Lead provides leadership, coaching, and oversight to a team of Commercial Analysts supporting Commercial Leaders and Relationship Managers across designated markets. General Office - Prolonged sitting, ability to communicate face to face in person or on the phone with teammates and clients, frequent use of PC/laptop, occasional lifting/pushing/pulling of backpacks, computer bags up to 10 lbs.
Sr. Business Analyst, Premium Products Capital One Financial CorpSr. Business Analyst, Premium ProductsNew York, NY$121,300–$138,400 / yearCurrently has, or is in the process of obtaining one of the following with an expectation that the required degree will be obtained on or before the scheduled start date: A Bachelor's Degree in a quantitative field (Business, Finance, Accounting, Statistics, Economics, Operations Research, Analytics, Mathematics, Computer Science, Computer engineering, Software engineering, Mechanical engineering, Information Systems or a related quantitative field). A Master's Degree in a quantitative field (Business, Finance, Accounting, Statistics, Economics, Operations Research, Analytics, Mathematics, Computer Science, Computer Engineering, Software Engineering, Mechanical engineering, Information Systems or a related quantitative field) or an MBA with a quantitative concentration.