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Securities jobs in parma USA

6 securities jobs found in parma: showing 1 - 6

Compliance Officer- Risk Evaluation And Assurance
Company: KeyBank |

Location: Brooklyn, OH, USA

| Salary: US$71000 - 125000 per year | Date posted: 22 Jun 2026
and escalate significant risks. Review policies and procedures for consistency with current banking and securities regulations
Investment Pricing Lead Specialist
Company: KeyBank |

Location: Brooklyn, OH, USA

| Salary: US$18.75 - 25 per hour | Date posted: 17 Jun 2026
ensures securities are valued correctly on customer statements, valued correctly for client fees and for investment review... of securities on Global Plus. The individual will assist and support Investment/Trust professionals in a Trust and Investment
Treasury Operations Analyst
Company: KeyBank |

Location: Brooklyn, OH, USA

| Salary: US$48000 - 72000 per year | Date posted: 09 Jun 2026
of Business at Key and its affiliates. Portfolio responsibilities encompass managing fixed income securities such as bonds...-value wire transfers, and reconciling General Ledger entries. Collateral management tasks involve pledging securities
Regional Compliance Analyst - Key Investment Services (kis)
Company: KeyBank |

Location: Brooklyn, OH, USA

| Salary: US$57000 - 87000 per year | Date posted: 06 Jun 2026
knowledge of securities industry concepts, compliance practices, supervisory frameworks, applicable federal and state regulatory
Kpb Sr. Research Analyst
Company: KeyBank |

Location: Brooklyn, OH, USA

| Salary: US$71000 - 125000 per year | Date posted: 27 May 2026
to securities being offered or when quarterly financial statements are released. The Senior Research Analyst will have established... holdings and those securities received from contra-firms. Grow network of contacts in relevant fields that will assist the
Compliance Officer - Risk Evaluation And Assurance
Company: KeyBank |

Location: Brooklyn, OH, USA

| Salary: US$71000 - 125000 per year | Date posted: 19 May 2026
and escalate significant risks. Review policies and procedures for consistency with current banking and securities regulations