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Our Client is looking for a Candidate experienced in managing regulatory examinations covering wholesale businesses.
Join a top multinational bank as they look to build out an industry leading Compliance Model Validation team.
The bank is seeking a collaborative Credit Risk Review Officer to evaluate and enhance credit risk management practices within their Wholesale Credit portfolio. This role involves conducting independent risk assessments, providing recommendations, and fostering strong relationships with stakeholders to drive sustainable shareholder value.
The Financial Institutions Group based in New York is a growing and critically important strategic initiative. They provide coverage across various sub-verticals including Banks, Specialty Finance, FinTech and Insurance.
Join the broker-dealer function of one of the largest, fastest growing banks in the US as they expand and better their compliance program rapidly.
Model Risk Manager will lead the efforts to improve models and develop new models and processes.
The Director, Senior Credit Officer will be tasked with evaluating and challenging credit applications from the front office, as well as preparing and presenting executive summaries and recommendations to the Credit Department's management. This role primarily involves handling lending transactions for investment-grade corporates and their financial products, along with high-yield obligors with intricate capital structures and leveraged loans.
The VP VP Counterparty Credit Risk Review Officer will be responsible for independent credit analysis on the firm's domestic loan portfolio. This will involve managing third line of defense credit reviews for a broad portfolio of credits within the FIG space, including banks, broker-dealers, funds, asset managers, insurance companies, REITs, etc.
Commercial real estate development firm seeks Vice President of Asset Management to join their growing firm in Boston, MA.
The Compliance Manager will be stationed at the on-site management office in and will be responsible for overseeing the certification process, ensuring its timely completion, and ensuring that all move-in files comply with City, State, and Federal program standards, including LIHTC, HPD, HDC, Mitchell Lama, and Section 8. Additionally, the Compliance Manager will lead onsite training and manage preparations for any upcoming audits.
You will be a member of the Structured team with responsibility for covering Asset-Backed Securities. This role requires utilization of structured research to evaluate investment opportunities and monitor existing investment positions in the ABS portfolio. You will work closely with other members of the team and will report to the Corporate/Structured Research Team Leader.
Boston based Private Family Office seeks Investment Director to join their growing investment team.
This position joins the Risk Management team and will be responsible for producing reports and analysis which complies with FRTB regulations, Basel 2.5, Basel 3.
We are seeking a dedicated and experienced operational leader to oversee the build-out of the US Bank operations. Reporting directly to Group leadership, this individual will play a critical role in operationalizing the US Bank, ensuring robust program management, governance, compliance, and business readiness.
This role involves supporting the preparation and presentation of financial reports, journal entries, and ad hoc analyses while ensuring compliance with US GAAP and maintaining strong internal controls. It requires proficiency in Microsoft Office and at least two years of experience in financial reporting or related fields.
The Middle Office team is seeking an individual with experience in supporting the post execution process for different trade products, including trade confirmation, settlement, and fail resolution. The role involves analyzing and improving processes, assisting with ad hoc requests, and providing steady monitoring of Middle Office applications while reducing operational risk.
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