- Mizuho Corporate Bank (New York, NY)
- Summary Quantitative market risk analytics specialist responsible for developing methodologies and managing analytics for risk models including ... value-at- risk , stress, and capital models. You will join the Risk Analytics group that partakes in model development over the full life-cycle of modes: from… more
- Mizuho Corporate Bank (New York, NY)
- Summary As a Director of Quantitative Market Risk Analytics , you will actively participate in the development of methodologies and in management of ... for value-at- risk with a strong focus on Equity. Candidate will join the Risk Analytics group that partakes in the complete life cycle of model development:… more
- Citigroup (Tampa, FL)
- …are widely available to all. **Description:** The successful candidate will + Support market risk analytics projects in multiple areas, including FRTB ... Review of the Trading Book, the next generation of market risk regulatory framework) CCAR (Comprehensive Review...+ On a regular basis, engage market risk managers and the businesses on analytics -related… more
- Citigroup (Irving, TX)
- … Risk Exposure Specification - a document that is maintained by Market Risk Analytics . **Responsibilities** + With oversight/guidance from senior staff, ... and analytics ensure that the bank has adequate capital during crisis. **About Market Risk IMA Analytics ** As key component of DART Market &… more
- Santander US (New York, NY)
- …with the trading desk, other risk teams, IT, and primarily focuses on Market Risk analytics USA Job Function Description: Ensures adherence to the ... Sr. Associate, Market Risk Country: United States of America **Your Journey Starts Here:** Santander is a global leader and innovator in the financial services… more
- BMO Financial Group (New York, NY)
- … risks. The role requires a close working relationship with various Securitized Products businesses, Market Risk Analytics team, Market Risk ... Operations team, Market Risk Technology team, Market Risk Data team, Market Risk Models team, Market Risk Model Validation team, and the… more
- MUFG (New York, NY)
- …Summary** : This is a quantitative risk manager role within the MUFG Americas' Risk Analytics Team within the Market Risk Management Department ... engineering, and derivative valuation techniques + In-depth knowledge of market and/or credit risk analytics , including VaR, stress testing, CVA/FVA, and… more
- Wells Fargo (Charlotte, NC)
- …Quantitative Analytics Specialist to fill the role within the MCRA team ( Market and Counterparty Risk Analytics ). This position will cover researching, ... customers and company. They are accountable for execution of all applicable risk programs (Credit, Market , Financial Crimes, Operational, Regulatory Compliance),… more
- Citigroup (New York, NY)
- …knowledge in a broad range of Risk Management disciplines including Counterparty Credit, Market , and Risk Analytics . + Experience working at a banking ... of this role is to support the execution of regulatory interactions across Risk Management, to ensure the organization is responsive, agile and well-prepared for… more
- Charles Schwab (Westlake, TX)
- …and brokered deposit notional investment allocation decisions, balance sheet modeling and analytics , market risk management, ALM derivatives, and net ... Reporting to the Managing Director, Balance Sheet Forecasting and Market Risk , you will lead a team...(EVE) sensitivity analyses. Your team will have ownership for analytics , attribution, and automation for all IRR measurement &… more
- Charles Schwab (Lone Tree, CO)
- …and brokered deposit notional investment allocation decisions, balance sheet modeling and analytics , market risk management, ALM derivatives, and net ... to develop the data engineering infrastructure for the net interest revenue and market risk forecasting projects. **What you have** **Required Skills:** +… more
- Fannie Mae (Washington, DC)
- …* 2 years' experience or more in financial markets, portfolio management, market risk analytics , and/or advanced education demonstrating quantitative, ... * 2 years' experience or more in financial markets, portfolio management, market risk analytics , and/or advanced education demonstrating quantitative,… more
- BlackRock (New York, NY)
- …trading platforms, or derivative platforms + Understanding of investment risk (eg, market risk analytics ) + Experience with platform integrations (eg, ... needed to manage money in real time. Our investment software combines risk analytics with portfolio management, trading, compliance, and operations tools… more
- Citigroup (Houston, TX)
- …inclusive of: + Experience engaging in financial derivatives structuring and pricing as well as market risk analytics to design and price risk -management ... Gas Exploration, Upstream, Midstream, Downstream and Consumer space to manage market risk exposure and volatility within the commodities markets + Keep abreast… more
- Bank of America (New York, NY)
- …Risk and P&L stakeholders across the organization: management, trading, middle office, market risk , finance, quant analytics and technology. Provide ... of managing stakeholder relationships with key business groups in trading, quantitative analytics , market risk , finance, compliance and audit + Experience in… more
- The Cigna Group (Austin, TX)
- …Analyses + Formulary Modeling Experience + Network Optimization Modeling + Rebates Modeling + Market Landscape analytics + Risk Score Modeling + Ability to ... This position will provide external actuarial analytics support within the regulated Medicare market...pipeline products + Out of Pocket Cost + Member risk score analysis / benchmarking + Quantification of impact… more
- CoStar Realty Information, Inc. (Boston, MA)
- …available, we provide an invaluable edge in real estate. CoStar Risk Analytics , located in Boston, MA, works with market participants across the commercial ... Quantitative Analyst, CoStar Risk Analytics Job Description CoStar Group...analysis, impact analysis and attribution analysis) and regulatory model risk management compliance. + Conduct market research… more
- S&P Global (New York, NY)
- …the Role:** **Grade Level (for internal use):** 11 **The Team** : Financial Risk Analytics (FRA) provides innovative products and solutions designed to help ... asset managers effectively measure and manage their counterparty credit risk , market risk , regulatory capital,...addressing evolving risk and regulatory requirements. Financial Risk Analytics is part of the … more
- JPMorgan Chase (Plano, TX)
- …qualifications, capabilities, and skills** + Minimum12 years of leadership experience managing risk analytics or data science team + Demonstrated experience and ... best-in-class. As an Executive Director in Commercial Real Estate Risk Strategic Analytics , you will spearhead the...the transformation of CRE surveillance by leveraging portfolio and market data along with advanced analytics to… more
- Raymond James Financial, Inc. (St. Petersburg, FL)
- …while balancing business concerns. + Develop and maintain advanced risk analytics solutions to assess exposures in market , credit, collateral, and liquidity ... direction with a high level of autonomy, the Vice President of RJF Risk Data & Analytics will support the technology, platforms, data and analytics of RJF… more
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