- Citigroup (New York, NY)
- …role operates in partnership with stakeholders (eg, Finance businesses, Technology, Risk , Model Risk Management (MRM), etc.) to harmonize transformation ... Finance functions. The role spans across all Finance Model and EUC workstreams: Governance, Inventory...the process to identify, assess, record and response to Model Risk events, ensuring these are captured… more
- Bank of America (Chicago, IL)
- Quantitative Finance Analyst - Global Markets Risk ... model stakeholders including risk management, model development, model risk , senior ... Bank of America has an opportunity for a Quantitative Finance Analyst within our Global Risk Analytics...risk management in understanding the drivers behind material risk metric movement, the impact of model … more
- SMBC (White Plains, NY)
- …background to join the Market & Liquidity Model Validation Team within the Model Risk & Validation Group. The Market & Liquidity Model Validation ... validations and reviews of derivative pricing, e-trading, market risk , liquidity risk and xVA/CCR models + Apply robust model validation methodology to… more
- Morgan Stanley (New York, NY)
- … and other risks. Background on the Position This role resides within FRM's Model Risk Management (MRM) Department which is dedicated to providing independent ... model risk control, review and validation of...model risk control, review and validation of models used by...Experience > Masters or Ph.D. degree (or equivalent) in Finance , Economics, Mathematics, Physics, Engineering , or a… more
- JPMorgan Chase (New York, NY)
- …with responsibility for: product ownership, process engineering and software development for model risk technology and analytics; model risk ... As a Risk Management - Model Risk...As a Risk Management - Model Risk Governance and Review -...Skills and Capabilities** + A Bachelor's degree, preferably in Finance , Accounting, Economics, Engineering , or Mathematics +… more
- Santander US (New York, NY)
- …be written including the appropriate testing. Documentation and testing will be presented to Model Risk Management for approval. Also, the position will help in ... Executive Director: Model Developer, Market Risk - Corporate...+ Bachelor's degree (or equivalent) in Economics, Mathematics, Physics, Engineering , or a related field. + Doctorate or Master's… more
- Bank of America (Charlotte, NC)
- …New York, New York **Job Description:** **Role Description:** Enterprise Model Risk Management seeks a Senior Quantitative Finance Analyst - Anti-Money ... Director, Senior Quantitative Finance Analyst, AML Model Validator Charlotte,...Masters in a quantitative field such as Mathematics, Physics, Finance , Engineering , Computer Science, Statistics. + Knowledge… more
- Bank of America (Atlanta, GA)
- Quantitative Finance Analyst, Model Developer - Global Financial Crimes Charlotte, North Carolina;Jersey City, New Jersey; Chicago, Illinois; Atlanta, Georgia ... **Job Description:** As a Quantitative Finance Analyst on the Enterprise Risk Analytics...engagement with key stakeholders, including the lines of business, risk managers, model validation, technology **Position Overview**… more
- Amazon (Nashville, TN)
- …curious about these answers, have customer obsession, dive deep and deliver results, the Global Engineering Services (GES) Finance team has a place for you. GES ... complex problems that effect company-wide strategic decisions. About the team The Global Engineering Services (GES) Finance Business Support team in the Global … more
- Citigroup (Irving, TX)
- …in STEM or other quantitative fields required (Mathematics, Statistics, Financial Engineering , Quantitative Finance etc.) with 6+ years of Quantitative ... The Model Analysis Officer is a strategic professional who...effectiveness of the sub-function/job family. **Responsibilities:** + Support market risk analytics projects in multiple areas, including FRTB (Fundamental… more
- CIBC (Chicago, IL)
- …Key tasks include tracking model performance and KRIs to govern the model risk ongoing monitoring initiatives. These tasks will also assist in preparation ... Identifying Solutions, Interpersonal Communication, Mathematics, Microsoft Office, Microsoft PowerPoint, Model Development, Model Risk , Problem Solving,… more
- JPMorgan Chase (Jersey City, NJ)
- …of study plus 3 years of experience in the job offered or as a Model Risk Associate, Data Engineer, System Engineer, or related occupation. Skills Required: ... design, develop, and implement robust, scalable, and efficient ML models. Work with Finance and Risk professionals to proactively monitor the production usage… more
- USAA (Tampa, FL)
- …Experience in monitoring and tracking emerging trends and best practices in model risk management + Demonstrated experience preparing effective documentation and ... Statistics, Data Science, Engineering , Computer Science + Experience and background in Model Audit or Modelling areas + Knowledge of SR 11-7 and/or ASOP 56 +… more
- Atlantic Engineering Group (Atlanta, GA)
- Company Description We are a family of privately held engineering and construction compan ies that specialize in Power , U tility, and Telecommunication ... deployments throughout the country. We operat e under a full service model emphasizing integrity, quality, strong work ethic, and client satisfaction by delivering… more
- Bank of America (Jersey City, NJ)
- … capital requirements, technology partners for model implementation, front-office pricing model quant developers, and Model Risk Management (MRM) for ... America Merrill Lynch has an opportunity for a Quantitative Finance Analyst within our Global Risk Analytics... models for internal risk management, market risk capital requirements for Internal Model Approach… more
- Bank of America (Charlotte, NC)
- …risk management, model implementation, and technology teams. As a Quantitative Finance Analyst within Enterprise Risk Analytics - AML model ... Investigations, business risk managers, model developers, model ...+ Graduate degree in quantitative discipline (eg Mathematics, Economics, Engineering , Finance , Physics) + 2+ years of… more
- Bank of America (Chicago, IL)
- …on strategic GRA platforms. Outputs include GRA libraries that perform consumer risk model calculations, analytical tools, processes and documentation. Partner ... of areas: * Quantitative Modeling - Develop and maintain risk and capital Models and Model Systems...Documentation + Adaptability + Collaboration + Problem Solving + Risk Management + Test Engineering + Data… more
- Navy Federal Credit Union (Vienna, VA)
- Overview Provide visionary thought leadership to evolve the Corporate Systems - Finance technology Domain from on premise solutions to align to the enterprise anchor ... and execute strategic plans and oversee the operations of Finance Technology Domain product lifecycle, encompassing Stakeholder Management and Communications,… more
- Bank of America (Jersey City, NJ)
- …Atlanta, Georgia **Job Description:** The position is part of the Enterprise Risk Analytics (ERA) model development team for Anti-Money Laundering (AML) ... Hadoop and other databases. **Overview of the Role** As a Senior Quantitative Finance Analyst on the Enterprise Risk Analytics team, your main responsibilities… more
- Bank of America (Chicago, IL)
- …technical documentation, and effective challenges on model development/validation + Supports model development and model risk management in respective ... approaches of development/validation projects and identify areas of potential risk + Works closely with model stakeholders...Documentation + Adaptability + Collaboration + Problem Solving + Risk Management + Test Engineering + Data… more