General Description: Responsible for developing, testing and implementing quantitative models to support trading, risk management and portfolio optimization activities. Involves analyzing complex financial data, pricing financial instruments, and generating insights that improve decision-making within the banks treasury or
About Ogilvy Ogilvy, part of WPP, has been creating impact for brands through iconic, culture-changing, value-driving ideas since the company was founded by David Ogilvy 75 years ago. It builds on that rich legacy through Borderless
Total Number of Openings1 About Us Chevron is a leading multinational energy company with operations in over 180 countries. Founded in 1879, Chevron has a rich history of innovation and growth, making significant contributions to the
Total Number of Openings5 About Us Chevron is a leading multinational energy company with operations in over 180 countries. Founded in 1879, Chevron has a rich history of innovation and growth, making significant contributions to the
JOB SUMMARY: The Credit Risk Models Officer develops, enhances, validates, and monitors the Bank’s credit risk rating, scoring, and ECL models to ensure accuracy, compliance, and effectiveness. The role supports model governance, stress testing, portfolio risk monitoring, and risk
Roles & responsibilities The role requires the candidate to have a prior experience in at least two out of four: Supply Chain Strategy (Operating Model Development) Supply Chain Analytics (Alteryx, Power BI, Tableau, R, Python) Supply Chain
Summary of role Our work is divided into the following categories: Valuation – provision of valuation or valuation review opinions in connection with transactions, business strategy, financial reporting, and/or taxation. Transactions involve acquisitions, divestitures, or financing
Work Setup: Monday to Friday, Full Onsite Location: Makati Industry: Private Equity Firm Key Responsibilities: Perform financial analysis and develop financial models to assess potential investment opportunities. Conduct market and industry research, identify emerging trends, and support
Responsibilities: Lead the execution of valuation engagements across businesses, intangible assets, and financial instruments (including equity, debt, derivatives, and options) for mergers and acquisitions, litigation support, financial reporting and restructuring, tax and financial advisory purposes Build
The opportunity As part of the SGV FSO - Financial Services Risk Management (FSRM) practice and you will provide a well-integrated broad array of risk management services to capital market participants within global banking, capital markets,
Responsibilities: Leading and supporting valuation engagements across businesses, intangible assets, real estate, and financial instruments (equity, debt, derivatives, structured products). Building, reviewing, and validating complex financial/valuation models (three‑statement, DCF, market multiples, quantitative pricing models). Conducting industry and company research,
Responsibilities: Leading and supporting valuation engagements across businesses, intangible assets, real estate, and financial instruments (equity, debt, derivatives, structured products). Building, reviewing, and validating complex financial/valuation models (three‑statement, DCF, market multiples, quantitative pricing models). Conducting industry and company research,
Responsibilities Collaborate with data science and engineering teams to develop, optimize, and deploy machine learning models in on premises and cloud environments. Oversee the ML model lifecycle from data preparation and feature engineering to deployment and monitoring. Prepare,
The opportunity As part of the SGV FSO - Financial Services Risk Management (FSRM) practice and you will provide a well-integrated broad array of risk management services to capital market participants within global banking, capital markets,
About Us Nomura Research Institute (NRI) is Japans largest management consulting and think tank, providing strategic consulting services to multinational corporations, government agencies, and public institutions across Asia and globally. Our Manila office supports clients across
Job Summary: Lead the execution of valuation engagements for complex financial instruments (including plain vanilla and exotic derivatives, structured products, equity and debt securities) for mergers and acquisitions, litigation support, financial reporting and restructuring, tax and
The Operational Risk Analytics officer provides support in the implementation and maintenance of the Bank’s Operational Risk management tools. The function entails gathering and deriving both qualitative and quantitative risk data into risk analyses to support the
Responsibilities: Lead the execution of valuation engagements across businesses, intangible assets, and financial instruments (including equity, debt, derivatives, and options) for mergers and acquisitions, litigation support, financial reporting and restructuring, tax and financial advisory purposes Build
At SGV, you’ll have the chance to build a career as unique as you are, with the global scale, support, inclusive culture and technology to become the best version of you. And we’re counting on your
JOB SUMMARY: The Market Data Analyst is responsible for the systematic collection, processing, and analysis of market and sales data to support strategic and operational decision-making. The position applies principles of mathematics, statistics, and data science