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This role involves overseeing the Operational Risk (OR) Framework, RCSA, Control Testing, 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 consultant will be in the office 5 days a week and will have the potential to be a long tern employee of our client. This consultant will essentially Be responsible for assisting with the development, execution and administration of all compliance risk assessments.
The Electronic and Algorithmic Trading Risk Function operates within Market Risk, providing second-line oversight and challenge for electronic and algorithmic trading activities across multiple asset classes, including Rates, FX, Credit, Equities, and Futures & Options. These activities span global regions, including Asia, Europe, and the Americas.
The Senior Audit Manager Capital Markets will oversee and execute audits focused on capital markets activities, ensuring compliance and risk management standards are met. This role is ideal for professionals with deep expertise in financial services and a passion for delivering value through effective internal controls.
The VP Credit Risk Review Officer will conduct comprehensive credit reviews and loan reviews for leveraged corporates and wholesale credit risk, providing an independent assessment of credit risk management practices. Responsibilities include conducting credit reviews, developing financial models, and collaborating with cross-functional teams to support credit review processes.
FIG Counterparty Credit Risk Consultant with 10+ years of expertise in assessing, managing, and mitigating credit risks associated with banks, broker-dealers, clearinghouses, mortgage REITs, originators, funds, and asset managers. This role involves working closely with stakeholders to provide strategic risk assessments and ensure robust counterparty risk management frameworks.
The Capital Markets Auditor will be responsible for evaluating the design and effectiveness of internal controls supporting the firm's capital markets businesses, including trading, sales, investment banking, and other front-to-back processes. The ideal candidate will have a strong understanding of capital markets products, trade lifecycle, regulatory frameworks, and risk management practices.
Treasury professional with market trading experience with fixed income products managing US Treasury, US agencies and Repo portfolio
The Enhanced Due Diligence (EDD) Analyst plays a key role in protecting the institution from financial crime by performing detailed assessments of high-risk clients and transactions. This position ensures compliance with anti-money laundering (AML), counter-terrorist financing (CTF), and sanctions regulations through comprehensive analysis and well-documented findings.
This Client Onboarding Consultant is responsible for managing end-to-end client onboarding processes including conducting KYC due diligence, OFAC and negative news screening, and preparing required documentation based on client risk levels. The position requires close coordination with internal teams and external clients, attention to regulatory compliance, and the ability to prioritize onboarding cases to meet deadlines efficiently.
The Audit Manager of Capital Markets will play a critical role in overseeing and executing internal audit processes within the financial services industry. This position focuses on ensuring compliance, identifying risks, and providing strategic insights to support the organization's accounting and finance objectives.
Candidate will support vulnerability remediation and patch management across Windows and virtual desktop environments using SCCM, scripting, and infrastructure tools, ensuring secure and compliant workstation operations. This role is W2 only, hybrid in NYC, and long term contract!
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