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Keywords: Credit Portfolio Management Analyst - Commodity Finance, Location: New York City, NY

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Credit Portfolio Management Analyst - Commodity Finance

for supporting portfolio management in the Commodity Finance business line in MUFG's Global Corporate & Investment Bank (GCIB...), for the purpose of providing continuous oversight of the Commodity Finance portfolio. Responsibilities: Support Portfolio...

Company: MUFG
Location: New York City, NY
Posted Date: 11 Oct 2025
Salary: $100000 per year

Credit Analyst - Sports Finance - Underwriting and Portfolio Management

will provide more details. Job Summary: We're seeking a Credit Risk Analyst who will be part of our growing Portfolio... Management Group. You will handle credit coverage for clients in the Sports sector for team, league and venue borrowers. You'll...

Company: MUFG
Location: New York City, NY
Posted Date: 16 Aug 2025

Risk Analytics (Risk Management) : Job Level - Associate

within the Firm Risk Management's Risk Analytics area. Risk Analytics develops market risk analytics, credit risk analytics... regulatory framework and the Firm's risk management needs. The new hire will join the Market Risk Analytics Commodity & Equity...

Company: Morgan Stanley
Location: New York City, NY
Posted Date: 05 Sep 2025

Senior Analyst, Global R&D (Crypto/DeFi)

, sophisticated portfolio construction techniques, and a broad and robust range of quantitative methods in finance. Compensation...Job Description: About the Role: Grade Level (for internal use): 11 Analyst, Global R&D (Crypto/DeFi) Work...

Company: S&P Global
Location: New York City, NY
Posted Date: 01 Aug 2025
Salary: $100909 - 130000 per year

Lead Business Systems Analyst

operational excellence and foster a culture of collaboration using lean portfolio management and agile development methodologies... portfolio management. Previous experience as a team lead or in a similar role. Right to Work Requirements: This role...

Company: S&P Global
Location: New York City, NY
Posted Date: 23 Jul 2025
Salary: $101000 - 147000 per year

Market Risk Analyst

in portfolio and market to extract value-added insight for senior management. Highlight key market themes and events that form risk..., Credit, Foreign Exchange, Commodity, and Equity. Strong written and oral communication skills with the ability to condense...

Posted Date: 17 Oct 2025
Salary: $80000 - 135000 per year

Associate Director, Financial Institutions - S&P Global Ratings

& Responsibilities: The successful candidate will be the primary analyst responsible for a portfolio of credits across bank and non-bank... sectors. In addition to actively surveilling the portfolio, the analyst will effectively communicate with market participants...

Posted Date: 03 Sep 2025
Salary: $98000 - 185000 per year

Senior Director, Quantitative Strategy

valuation matters including exotic derivatives and customized portfolio analytics; risk management and derivatives hedging..., asset managers, private equity firms, regulators, commodity traders, energy companies, and mining and metal processing firms...

Company: FTI Consulting
Location: New York City, NY
Posted Date: 23 Aug 2025

Senior Director, Quantitative Strategy

valuation matters including exotic derivatives and customized portfolio analytics; risk management and derivatives hedging..., asset managers, private equity firms, regulators, commodity traders, energy companies, and mining and metal processing firms...

Company: FTI Consulting
Location: New York City, NY
Posted Date: 23 Aug 2025