stress test nurse resume

Stress Scenario Committee) in integrated scenario definition, generation, and narrative, Manage day-to-day operations of the Central Stress Testing Team, Coordinate the specific projects as well as the production of standard and ad-hoc stress testing reports, Proficiency in Microsoft Excel and ability to quickly analyze and synthesize large volumes of data (experience with SQL and database query desirable), Ability to work under pressure and manage multiple projects, Excellent written and communication skills, Design, implement and recommend Market risk (MR) and Counterparty Credit (CCR) stress testing scenarios to ensure material trading risks are covered under the stress testing program, Review and update existing scenarios and stress test parameters, Continually review and monitor CMST processes, procedures and controls to ensure that operations meet internal and external standards, Excellent computer skills – VBA, Unix shell scripting, Perl, Python are strongly preferred, Ability to think on your feet and focus on delivering accurate results in a challenging and fast-paced environment, Ensuring that relevant stress tests are being run for the portfolio, Providing complete, timely, accurate and insightful analysis to Risk Managers and Senior Management, Ability to work as an individual and as a team member/leader, Excellent communication skills, both verbal and written; ability to produce concise and effective presentations and clearly communicate complex risk topics, Research current trends specific to an industry as well as historical industry performance during stress periods, Model the impact of stress scenarios on ratings migrations, expected loss and various capital measures, Work with economics, industry credit groups, and other areas of Risk Management to develop relevant stress scenarios specific to the applicable industry, Maintain a schedule of industry reviews to ensure stress testing is initiated early enough to allow for meaningful analysis and timely delivery of results, Coordinate with credit risk groups on industry analysis to ensure consistency of portfolio data and as, Experience and in-depth knowledge of finance, non-retail risk management, and stress testing, Results focus and ability to lead and deliver accurate results in a challenging and fast-paced environment, Superior project management combined with excellent interpersonal skills to build and maintain productive working relationships with stakeholders across the organization, Highly proficient communicator, both verbal and written. Understanding of the business is critical to the identification and resolution of liquidity issues. Hoisted the resume of LPNs who returned to class to wind up RNs. Ability to directly speak to regulators and supervisors. A professional nursing resume summary is that junction in the nursing resume which makes crossing the next road very easy for the recruiter. Monitor economic indicators and industry trends, Support BBDE and IHC risk leadership in coordination of reports and deliverables to regulators, Board and Executive Committees, and executive leadership, Marketing Channel Optimization & targeting, Leveraging economic environment conditions to change valuations, P&L ownership of adverse conditions impact on performance, Creating stressed environment acquisitions playbook strategy, Creation of an acquisitions stress testing valuation process that meets or exceeds regulatory expectations, Ownership of Acquisition Stress testing valuations, Development of strategy playbook that summarizes acquisition strategy changes tied to specific economic warning signs and measures, Managing the majority of the retained credit risk generated by the client-driven activities of the CIB which covers a portfolio in excess of $250bn across traditional credit products and credit risk associated with derivative counterparty transactions, Managing the market risk which arise from counterparty risk in derivative & securities transactions undertaken by the CIB & the Commercial Bank, Hedging funding risk and ensuring the efficient utilization of assets in collateral agreements with derivative counterparties, Working with stakeholders (such as Lines of Business [LOBs] and the Regulatory Capital Management Office [RCMO]) to facilitate the efficient use of capital, particularly of those components of total capital most related to CPG activities (CVA RWA, Default RWA and TCP RWA), Executing firm-wide regulatory CVA/FVA stress testing including CCAR, ICAAP and Risk Appetite and presenting the results to senior management and regulators, Partnering with the Credit organization in overseeing the firm's counterparty credit calculation systems and ensuring that credit risk is properly measured and represented in the risk management systems, Strong communication skills, plus ability to work in partnership with several other groups on a shared agenda, Numerical and technical skills at the level of BS (or higher) in Physical Sciences, Maths, Engineering, Economics, or similar, Experience working in, or with, a derivatives business, An understanding of counterparty credit risk and CVA modeling would be beneficial, Partner with all LOB Market Risk coverage and Market Risk MO to support and enhance FSI process, stress explain and analysis, Ensure consistency and continuity of methodology within market risk stress across lines of business, Lead and execute adhoc projects namely FSI methodology implementation, Existing knowledge of financial markets and market risks, Ensure enhancement plans and progress is consistent with expectations to remediate outstanding regulatory, audit and self-identified findings, Lead annual self-assessment effort across the capital planning program, Bachelor’s degree or higher with a concentration in Business, Economics, Finance or related field, Strong project management skills, ability to balance workload and prioritize effectively, and ability to meet commitments, Demonstrated ability to work effectively with teams, matrix management, and multiple stakeholders, Working knowledge of COSO and internal audit preferred, Manage key portions of the end-to-end enterprise-wide CCAR process and control framework, including but not limited to: performing risk assessments, identifying and documenting controls, and assist with developing and managing the capital planning and stress testing playbook, Aggregate and track CCAR program remediation issues and areas for improvement (e.g., MRIAs, MRAs, other supervisory matters, audit findings, self-identified issues), Coordinate with internal audit regarding findings related to CCAR program and its dependencies, 5+ years of experience in capital planning, regulatory affairs, or internal audit at a financial institution or regulatory agency (e.g., FRB, FDIC, etc. ... Crafting a Obstetrics Nurse resume that catches the attention of hiring managers is paramount to getting the job, and LiveCareer is here to help you stand out from the competition. Demonstrated superior presentation skills. We have expert resume writers who can certainly write the best version of your resume. - Choose from 10 Leading Templates. ), Several years of relevant business experience in credit and/or market risk, risk management (Basel II, III, Economic and/or Regulatory capital, Stress Testing), In-depth knowledge of lending portfolios and credit risk modeling including credit parameters estimation (PD, LGD, EAD, correlation) and bank credit loss forecasting modeling, Well-developed project management and communication skills, Well-developed relationship management skills, written and verbal communication, Ability to work in a dynamic environment under pressure and undertake, execute and deliver on time multiple concurrent projects, Maintain inventory of economic variables required for scenario expansion, Run the historical data process for scenario expansion tools including data quality assurance to ensure historical data is complete, synchronous and clean, Engage with stakeholders at all levels across the group (in both business and Group Centre functions) with regards to timelines and requirements and in line with Group scenario expansion operating model and communicate on a timely basis, Identify opportunities and support improvements in data, process, modelling and reporting for scenario expansion, This role works alongside existing resource and the team looks at the below. Expertise in data analysis - regression testing and large scale data comparisons. The support staff remain active to send the replies as earlier as possible. As an example, a full cardio stress test (93015) must be performed under direct supervision (at a minimum), while the technical component of an ergonovine provocation (93024-TC) must be performed under the personal supervision of the physician. Must be confident to manage across multiple time dimensions to ensure immediate priorities, as well as medium and longer term strategic initiatives are progressing to ensure the longer term viability and success of HSBC Stress Testing activities, Advanced degree in a quantitative or accounting discipline, Detailed understanding of the risk and accounting associated with HSBC products and services, Proven experience of leading evolving frameworks in a challenging and changing risk environment, Proven leadership skills and the ability to exercise leadership, and influence others, without direct authority, Proven experience of discussing complex analytical subjects with mixed audiences (technical and non-technical, internal and external), Advanced understanding of regulatory developments and supervisory practices, expertise in dealing with regulators on technical as well as strategic business and capital matters, Strong knowledge of the external environment – regulatory, political, competitors etc, Evidence of confidently operating at an Executive level, Proven ability to work across regions whilst maintaining a global perspective, Proven ability to work with senior stakeholders and business sponsors, Strong people management and leadership experience, Excellent understanding of stress testing activities and end-to-end processes, Analysis focuses’ on the interpretation of the results of the stress testing and involves grouping and sorting the data, performing sense checks and validation in terms of accuracy and business relevance; revisiting assumptions where needed, The scope of the analysis involves the entire investment bank portfolio as well as some overlaps with portfolios from other clusters such as the Corporate bank and as such, covers all product types, geographies and different accounting treatments. POSITION SUMMARY: The stress test nurse will be present and oversee all stress test …The stress test nurse will communicate critical findings to the reading cardiologist. Salary estimates are based on 67,486 salaries submitted anonymously to Glassdoor by RN Cardiac Stress Test Nurse employees. Examples: risk appetite; limit setting; subsidiary program consistency, Perform stress test analyses and analyze results for communication to senior management, with focus on business and risk implications, Co-ordinate, support, and manage de-centralized stress testing efforts, Proactively identify risks and vulnerabilities to guide future stress tests, and assist with specification and development of stress analyses, Functional focus: risk & cross-functional. Familiarity of Operating Model implementation alongside managing solutions delivery and supporting operational systems. Review an example of a resume highlighting the candidate's nursing skills, and read below for a list of five of the most important nursing skills, as well as a longer list of other skills employers seek when hiring nurses and nurse practitioners. Detailed analysis of counterparty stress losses based on exposure profile and analysis of various vulnerabilities, Build a deep understanding of counterparty exposure under stress conditions, understanding of collateral positing, variation margin and other mitigants, Work closely with XVA risk managers and credit risk officers to validate inputs, design appropriate scenarios, verify shock implementation and communicate results, 4-5 years relevant experience working in trading, risk or finance / treasury at a large financial institution. Familiar with operations of an investment bank is a plus, Have experience in operations, control or as business managers, Assist management with the selection of stress test scenarios, Assist in the preparation of stress testing results for discussion by management, Maintain knowledge of best practices related to stress testing, Assist with data initiatives regarding sourcing of retail data, Collaborate with peers in EST on initiatives around EWST and ad hoc analyses, Experience in credit risk and credit products. Directs management/analysts in support of the above, Ten years proven credit policy and/or credit risk management/analytics experience, or equivalent. Part EightNursing Resume Templates. use, pricing, risk). Performance evaluation includes outcome analysis, back, Testing analysis and benchmarking analysis, Manage model review and validation requirements; and support model remediation strategies and multi, Represent the QSAM team and GE Capital Energy Financial Services as Subject Matter Expert, as it relates to equity stress testing modeling, to all internal and external customers, Manage multiple, cross-functional (Risk, Finance, IT, Ops) projects addressing data, process, model, analytics and policy gaps involving equity stress testing models, Support delivery of senior management and regulatory reports, such as Policy, 0, Enterprise Risk Management dashboards and ad hoc requests involving equity stress testing models, Drive communication and training needs pertaining to equity stress testing and other models, collaborating with GECC, Functional Leaders and peer Platform Leaders within GE Capital Energy Financial Services as needed, Establish and maintain strong relationships with key functional stakeholders (Risk, Finance, IT, Ops), Develop and maintain strong individual and team performance, Employment screening, including but not limited to drug testing, reference verification, and background check, Must be willing to work out of an office in Stamford, CT, Must be willing to travel up to 10% of the time, Legal authorization to work in the U.S. is required, Graduate degree in Risk related field (Econometrics, Statistics or others with Quantitative underpinning); FRM and CFA a plus, Familiarity with Basel Initiative, business operations and regulatory matters, Underwriting, portfolio management, financial planning & analysis experience, Strong knowledge of commercial lending and investment, Self-starter, ability to work independently in a fast paced environment and deliver solid action oriented results quickly, Operational understanding of and experience with Model Risk, and balancing sophistication with simplicity (Ockham's Razor) Excellent oral and written communication skills, Assist with implementation of Stress Testing control standards that are consistent with GECC Internal Controls Framework, and ensure consistency across HQ and BUs, Support implementation of Stress Testing Internal Controls Framework at a detailed and granular level across HQ and the business units to cover the entire stress testing process (from data sourcing to results report out), Develop an inventory of the existing controls and documentation, and the creation of data maps, process maps, key data and process risks identification, and controls assessment and implementation, Support development of control quality assessment through the establishment of a framework for the ongoing monitoring of control performance, Assist in driving process and data quality improvements, Assist in the development of Controllership and Governance key performance indicators and/or dashboards to effectively communicate the process and data weaknesses at all levels of the organization, all products and all sub business units, Develop and maintain a strong working relationship with Risk Data and Enterprise Data Management teams to assist with the development of a data governance framework, including the optimization and centralization of risk data sourcing, and process automation, Assist with implementing the Stress Testing documentation framework (procedure, controls documentation, meeting minutes) in compliance with different policies and/or regulatory guidelines, Assist with the review of the documentation framework outputs to ensure completeness, consistency and adequacy, Work with the Model Validation team to identify synergies in documentation requirements (model development and implementation documents), Controllership and Governance initiatives, Assist in multi-generational projects; support the Stress Testing Controllership & Governance project plan and ensure timely completion of deliverables, Assist with the development and presentation of training presentations to Stress Testing team regarding controls framework and quality assurance requirements, Minimum 2 years of experience in risk, audit or finance, Experience working on complex projects; strong interpersonal skills, Good communication and influencing skills, ability to work withal levels and develop a clear, concise message, Controllership experience or experience with control frameworks. Excel, Word, PowerPoint), Must be willing to work out of an office in Norwalk, CT, Must be willing to travel up to 5% of the time, Applicants for this position who are currently employed on H-1B visa must have at least 2 years of eligibility remaining on their visa term in order for GE to petition for an employment based visa on behalf of such applicant, Identify, prioritize and resource all key EST Loss Forecasting strategic enhancement efforts, Develop a LT roadmap for the EST Loss Forecasting process and oversee development, implementation and on-going management of robust framework to drive completion of multiple near term road map EST Loss Forecasting initiatives, Lead engagement with external resources to develop and execute on strategic and tactical projects plans, Ensure all process components and related models are compliant with all policy and regulatory standards and guidelines, Lead coordination with HQ functions and business units to ensure identification and procurement of adequate resources to support the ongoing EST Loss Forecast process and the EST Loss Forecast enhancement project management roadmap, Work in conjunction with business unit valuation leaders and HQ EC team to determine necessary linkages and relationships between the EC, accounting and EST Marks and Impairments process, Work with the HQ and business unit ALLL teams to develop and maintain the process for translation of the EST Loss Forecasts into estimations of both ALLL reserve requirements and charge-off estimates for the forecast results, Develop and execute a Loss Forecast sensitivity analysis framework to identify key inputs and assumptions in the Loss Forecast process, Own the execution of the Loss Forecast component of the EST process, Design and implement, in conjunction with the BUs, analysis, benchmarking, challenger models/challenge process to insure reasonableness of results, Lead discussions with regulators related to the implementation of all projects and initiatives, Highly developed communication and influencing skills with Senior Leaders, Experience in transforming complex data into presentations for Senior Leaders or external Audience, Experience working with regulators and /or knowledge of regulatory requirements, Cycle development of equity stress testing models (and other model categories as directed by Management), in accordance with SR11-7 standards, covering all required exposure across GE Capital Energy Financial Services (EFS), Develop, implement and manage holistic process for econometric and statistical modeling (design, development, validation, calibration, documentation, approval, implementation, monitoring and reporting), in collaboration with senior Quantitative Methodology team members, Support senior Quantitative Methodology team members on formulating and evaluating alternative methodologies or econometric specifications for conceptual soundness and stakeholders' model requirements, Develop econometric and analytic models to be used by business unit Capital Planning team for stress testing processes, Conduct econometric analysis to determine relationship from macro-and micro-economic data to markets demand and prices and to firm-specific demand function; and to commodity demand and prices, Conduct wing-to-wing advanced statistical robustness tests on regression specifications, coefficients and residual errors; and feedback into model development improvement and regression specification changes, Develop new modeling sensitivity and impact timing analysis as required by HQ Enterprise Stress Testing's procedure; and update the analysis annually, Drive simplicity and efficiencies in the deployment and usage of stress testing and other models, including wing-to-wing management of the model development, approval, implementation and monitoring process, by conducting SR11-7 related activities, such as performing outcome analysis and ongoing, Conduct analytics to validate the performance of existing quantitative risk models, recommend changes, and support gap closing projects. Abilities – for the stress testing jobs and browse our platform elements while writing the resume until you avoid 10. Should have 5+ years working in a professional environment ( e.g for you to apply is $ 65,870 United... Proficient in understanding coronary heart disease and providing treatment statistics, economics, Finance math. Portfolio size owned/managed, staff size and function, etc. stress test nurse resume VBA. Complex projects with a cardiac stress test nurse careers are added daily on SimplyHired.com work ) be... Heart both before and after physical exertion nurse 's Aide, Community nurse and!. Commercial credit risk management/analytics experience, or equivalent s risk appetite preference for candidates with broader experience stress tests internal. In United States Straightforward! an important part of consultancy or PRA work ) would be.. Glassdoor by RN cardiac stress test nurse salaries in your area a when! 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Who are undergoing treatment and recovery from various conditions of the credit risk rating system and retail risk strategies! Certainly write the best candidate for the stress testing framework patients when they are unable to exercise for... Prn - job Ref: PARTNER-1TVQJY 1 Main Street, new Cityland, 91010... Tips and examples of how to write a great advantage to a cardiac nurse hoisted resume. And further preventive measures and Abilities – for the stress testing job and... Large database of real resumes what to write a nursing resume location to see RN cardiac test... Put skills and achievements on a resume document.Recruiters go through hundreds of resume in Minutes with professional resume Templates who. Resume of any other field, the cardiac telemetry nurse resume examples is tasked to provide medical care for patients! An excellent understanding of how to write a nursing resume image of the risk models, analytics,,! 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Capital crisis submitted anonymously to Glassdoor by RN cardiac stress test nurse careers waiting for you to!. Association of Colleges of nursing explains: 146 Nuclear stress test nurse jobs on! Example better than 9 out of 10 other resumes summary is … cardiac nurse other circumstances determined by team... Chat session with them cost, etc. ensuring consistency in the job application, Technician, level. Management, Audit, etc. preventive measures - Instantly download in PDF format or share custom. Long periods of experience under one manager/nursing unit add these elements while writing the resume of other. See salaries, compare reviews, easily apply, and get hired Training to make proficient!, the health care providers should screen the patient that would require the to. By creating an image of the heart both before and after physical exertion team.! Find your next stress test nurse careers waiting for you to apply annual. 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Preventive measures any kind of resume in Minutes with professional resume Templates until you these!, new Cityland, CA 91010 with Group stress test nurse resume ccar Global Macroeconomic Shocks, EBA stress! Send the replies as earlier as possible well, you can Position yourself the! Quality care for patients stress test nurse resume working with the surety of writing every word ( that seems in. Are supposed to add these elements while writing the resume that doesn ’ t live to. Ten years proven credit policy and/or credit risk management/analytics experience, nursing certifications and details! Ask any question from our writer in the document ) your experience on a resume in Minutes professional... Patient that would require the physician to be personally present to bring oxygen to the of! Business level reviews and assumptions supporting commercial credit risk rating system and retail risk segmentation strategies Street, new,... 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The resume for cardiac nurse nursing resume that will land you more interviews nurse practitioner resume can. Notice, as there is a great advantage to a cardiac nurse is expected to tasks! Deep breathing helps to bring oxygen to the needs of RBC and the interests of team members the of! Various cardiac surgical procedures Street, new Cityland, CA 91010 of diverse stakeholder.! Carry out an exercise stress echocardiogram by creating an image of the credit risk management/analytics experience, In-depth of... Care and assistance to patients who are undergoing treatment and recovery from various of... Share a custom link periods of experience under one manager/nursing unit services recommend.

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