Must Live Near New York Position is Hybrid 3-6 Month Contract The Bank Model Risk Analyst will apply financial models... and ensuring capital adequacy. Model Risk Management: They participate in the entire lifecycle of models, from development...
Must Live Near New York Position is Hybrid 3-6 Month Contract The Bank Model Risk Analyst will apply financial models... and ensuring capital adequacy. Model Risk Management: They participate in the entire lifecycle of models, from development...
implementation and enforcement of guardrails. This position sits within Model Risk, GRM Data & Analytics. You will be responsible... across Global Risk Management, such as NLP to analyze latest news, predictive model to forecast market trends, etc. · Develop...
Job Description: An iInternational banking organization seeks Analyst or Associate level of Credit Risk Model Owner... to serve as local model owner to monitor and manage credit risk related models for the Bank's Responsibilities: Delivery...
. This is a hybrid position based out of our NYC office. About the Role: OptionMetrics is seeking a Jr. Model Validation Analyst..., and model enhancements. You will build and implement systematic approaches to ensure the accuracy, reliability, and stability...
Senior Quantitative Model Validation Analyst to join our market risk model validation team. In this role... management objectives. You will work closely with model developers, risk managers, and senior management to provide insights...
/Validation Senior Analyst, Credit Risk Analyst, or related position involving risk model development and implementation... and SQL to implement advanced climate transition risk models, analyze relevant data, and support the model through validation...
Within Aflac’s Global Investments (GI), the Associate, Quantitative Risk Analyst is part of the GI Investment Risk department... and is responsible for the overall investment risk analytics, assessments, and model reviews for the investments company general account...
Within Aflac's Global Investments (GI), the Associate, Quantitative Risk Analyst is part of the GI Investment Risk department... and is responsible for the overall investment risk analytics, assessments, and model reviews for the investments company general account...
Job Description: Overview Job Purpose Intercontinental Exchange is looking to hire a senior risk analyst... at ICE. The senior risk analyst will report to the risk manager and will work closely with senior management of the business...
AVP, Project Credit & Risk Management Analyst Location: New York, NY The Client: Our client is a globally.... Must have hands-on experience evaluating model financial structures, including cash flow projections and risk-adjusted returns...
, Risk, and Compliance (GRC) Analyst to join our growing US-based team. You’ll help run the risk-management and compliance... Do Drive the development and implementation of processes and procedures for risk management and compliance...
: The Operational Risk Analyst will support, develop and otherwise facilitate the ongoing implementation and execution... Response and Reporting programs Facilitate the execution of vendor risk and model risk programs for the NY office Support the...
: The Operational Risk Analyst will support, develop and otherwise facilitate the ongoing implementation and execution... Response and Reporting programs Facilitate the execution of vendor risk and model risk programs for the NY office Support the...
of benefits to its employees. Role Description The Analyst will work with senior trading assistant focusing on new initiatives.... This is Limited Duration Analyst position open to fresh graduates or students in their last semester who are willing to commit full...
will provide more details. Job Summary: This is a quantitative risk analyst role within the MUFG Americas’ Market... and Counterparty Risk Team primarily covering Rates, FX, XVA, SIMM, and Counterparty Risk models. Major Responsibilities: Model...
, credit, operational, model, and liquidity risk throughout the firm as well as enterprise wide stress testing. Market Risk...Job Description: DIVISION AND DEPARTMENT OVERVIEW The Risk Division is responsible for independent review of market...
and counterparties. Model expected counterparty credit loss on the current, expected and future exposures. Establish threshold... for counterparty risk across a number of elements, including client, industry, location, etc., depending on risk appetite. Monitor...
is desirable CFA, FRM, Actuarial credentials or similar investment risk management credentials a plus Strong model development... Working as a member of Aflac Global Investments (GI) and the Global Investments Risk Management (GIRM) team, participate...
is desirable CFA, FRM, Actuarial credentials or similar investment risk management credentials a plus Strong model development... Working as a member of Aflac Global Investments (GI) and the Global Investments Risk Management (GIRM) team, participate...