• Confidential
  • $110,525.00 -170,550.00/year*
  • Jersey City , NJ
  • Financial Services - Banking/Investment/Finance
  • Full-Time
  • 10 Bayside Terrace


Job Description:
The Portfolio Manager Risk and Finance is an integral part of the Portfolio Governance and Execution team.

This role will:
Provide the Chief Information Officer (CIO) as well as Risk and Finance Senior Leadership team with transparency and an independent point of view on the health of the portfolio of regulatory & business initiatives
Assist in facilitating the most senior governance forums in Risk and Finance Technology
Project manage critical deliverables across Risk and Finance Technology as well as other stakeholders such as Global Banking and Markets Technology
Lead segments of the Program/Project Management best practices framework and ...
Associated topics: brokerage, derivatives, equity, invest, investor, purchase, risk, securities broker, stock, s p

* The salary listed in the header is an estimate based on salary data for similar jobs in the same area. Salary or compensation data found in the job description is accurate.

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