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The Treasury Cash Management Associate will be responsible for supporting the Treasury department in the effective management of the company's cash and liquidity. This role involves daily cash positioning, cash forecasting, bank relationship management, and ensuring adequate liquidity to meet the company's operational needs.
Offer continual guidance to the settlement operations team on risk management practices. Collaborate effectively with internal stakeholders, including Compliance, across various departments.
The assignment will involve: preparation of marketing materials and proposals, calling on clients, attending bank meetings, making presentations, negotiating for mandates, reviewing legal documents and negotiating with clients, structuring transactions, research work, analysis of existing or potential transactions and/or industries, analyzing various risks and preparing credit applications and the development of cash flow models.
Assess the test of design and operational effectiveness of these controls and record results. Work closely with control owners and other stakeholders to agree on control testing outcomes.
This is a 6 month contract within the legal and compliance department. This position focuses on performing due diligence on alerts generated from their internal system "Mantas", escalate any potential suspicious activity, maintain all required documents and assist in other AD-HOC projects.
The Investment Advisor Consultant will be responsible for understanding end-to-end process flows and creating Target Operating Models, conducting user testing on tech platforms, preparing training documentation, and collaborating with project managers and technical teams. Additionally, they will perform data analysis, liaise with Portfolio Managers, and ensure the successful implementation of model and client portfolios.
Join 2LOD Operational Risk Management (ORM) function focusing on the Risk & Compliance business units. This position will partner directly with stakeholders to provide ORM support, guidance and implementation of the operational risk management framework.
Long term contract role for Bank to provide support to their strategic program.This position will involve developing in house risk systems, VaR models, pricing models and will require Market Risk Knowledge and strong Quantitative skills.
This individual will be responsible for the preparation of reporting of actual and budget financial activity of the firm.
The Workforce Finance Manager will be responsible for overseeing the accuracy, efficiency, and effectiveness of all workforce-related financial metrics. This role will involve working closely with various departments to analyze and interpret financial data, identify areas for improvement, and implement strategies to enhance financial performance tracking and operational efficiency.
The Compliance Monitoring and Testing QA Consultant will lead assigned compliance reviews, supervising and managing the day-to-day work of other testers. They will assign tasks and provide guidance and advice throughout the review process.
Price supported equity derivatives in Murex using various market data sets and model settings for testing and validation. Collaborate with Front Office EQD desk, Technology Partners, and Model Validation/Risk teams on projects requiring risk and analytics expertise.
This position joins the ORM function and will be responsible for covering the Finance business unit. You will partner directly with stakeholders and facilitate the implementation of ORM frameworks.
My client is a Financial Controller/CFO to join the team, this will be a fast paced organisation, where the person will be hands on, wearing many hats.Candidate must be familar with the capitalization table, cash flow modeling and have experience presenting decks to the board. In the future as the firm grows, this person will be involved in fund raising and pitching to VC's
The Corporate Compliance Officer is responsible for overseeing and ensuring the company's adherence to regulatory requirements, particularly in areas such as Anti-Money Laundering (AML), Bank Secrecy Act (BSA), and Office of Foreign Assets Control (OFAC) compliance.
This 12-week contract is currently on a hybrid work schedule. This consultant will be responsible for monitoring any FED transfer and SWIFT messages that are coming in. The consultant will also conduct research to confirm who is the originator of these wire transfers.
This role involves overseeing the Operational Risk (OR) Framework, managing policies, analyzing operational risk data, and generating Bank-wide reports. Responsibilities extend to supporting the governance of the Operational Risk Management Department, including facilitating committee meetings, preparing materials, and assisting with regulatory and audit affairs.
This is a 6 month contract with the ability to be long term. This consultant will be responsible for reviewing any returned payments with and without sanctions nexus, developing typologies for their sanction programs, documenting sensitive information, developing an automated tool to identify sanctions and assisting with any other sanctions related projects.
This position will partner with the business units to establish operational procedures and monitor risk and compliance.
Temporary role to aid the Vendor Risk Management Manager in updating data within the Vendor Risk Management System.
Establish and improve the Third Party Risk Framework with necessary components for effective risk management. Update policies and procedures. Create and implement an annual work plan for third party risk, reviewing risk identification, assessment, control evaluation, and testing.
Collect operational risk data from departments. Review data input and follow up if needed. Consolidate data for risk aggregation and executive committee reporting. Analyze inputs and generate reports.
This is a 3-month contract that has the ability to be extended. This consultant will be responsible for monitoring alerts that were generated and exceeded the $50,000 threshold, obtain and send compliance metrics to management, work along side the KYC team to update responses on KYC RFI/KYC notices, and clean up BSA reports as needed.
The Global Head of Technology Risk position is predominantly focused on helping the overall risk management group and different areas of technology to come together. This role will be helping establish areas from a risk and control perspective and working as a bridge between IT stakeholders, the business and the risk management department.
Execute Market Risk Governance framework and ensure regulatory compliance (CFTC, NFA, FRB, FRTB). Manage projects, engage in risk oversight and analysis, emphasizing quantitative market and liquidity risks. Role on trading floor, direct contact with front office. Crucial for internal and external communication to meet regulatory requirements.
Oversee liquidity and funding risks for US operations, ensuring compliance with Enhanced Prudential Standards. Manage liquidity stress testing and reporting tools. Act as liaison with front office and Head Office. Interact with senior management across entities and functions.
This temporary to permanent position is 5 days in the Midtown NYC office. This consultant will be responsible for monitoring and testing the Branch's activities in correlation to the Corporate Compliance Regulatory standards for the bank.
Monitor operational processes across departments. Assist with RCSA and Compliance Control Testing. Coordinate department risk self-assessment, mitigation, and control monitoring to minimize risk exposure.
This position will join the 2nd line Liquidity Risk function.
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