Market Risk Model Testing & Documentation – VP / ED, Corporate & Investment Banking Country: United States of America... products Deep understanding of market risk measures, concepts, and regulatory rules: VaR, greeks, and Model Validation Testing...
of our Model Risk Management team at PNC. The position reports to the Senior Validation Manager for Market Risk and Counterparty... background. - Experience in market risk and counterparty risk model development and/or validation within the financial services...
Rockland Trust is seeking a Model Risk Management Analyst. The Model Risk Management (MRM) Analyst reports to the Model... Risk Program Manager and serves as a technical authority in the Model Risk Management Group to help manage the risk...
Job Description: The Bank of New York Mellon seeks a Vice President, Model Risk Management II for its New York, NY... disciplines, each responsible for a different type of modeling: 1) Credit Risk Modeling; 2) Treasury Modeling; 3) Market Risk...
Intelligence & Machine Learning (AI/ML), Stress Testing, Valuation, Market Risk, Liquidity Risk and Counterparty Credit Risk models... of stress testing and market/counterparty credit risk capital regulations. Ability to work under pressure and communicate...
-Oxley Act (SOX). Professionals with SOX risk assessment, planning, testing, and deficiency evaluation skills... requirement. For controls failing testing, identifying the financial risk and develop an appropriate corrective action...
effective challenge to the first line with respect to operational risk Experience with design and testing of model/operational... for a Model Risk & Controls Manager. This dynamic and highly collaborative team implements and performs oversight of the models...
: Are you excited by the opportunity to make an impact and work in a dynamic agile environment? If yes, please apply to the Model Risk... model risk and test model and data controls owned by the Single-Family. Apply now and learn why there’s #MoreAtFreddieMac...
market and wealth management areas. Works with multiple business lines, Model Risk Management team and independently through... the model development cycle performing data analysis, testing, documentation verification, benchmarking, creation...
understanding of quantitative models and the financial market. Basic knowledge of the regulatory environment surrounding model risk... to each team or employee). The Impact you will have in this role: Model Risk Management, MRM is responsible for overseeing...
of benefits to its employees. Role Description SMBC is seeking an experienced Model Risk Audit Manager with a minimum of 8... with experience performing or reviewing model validations. Understanding of applicable regulatory standards (including Model Risk...
status quo and striving to be best-in-class. As a Vice President covering Asset Management in the Model Risk Governance... standards for effective challenge. Lead risk assessments and communication of model risk findings to senior stakeholders...
on financial areas including Capital, Liquidity, and Market Risk Stay current on industry developments related to Model Risk...Job Description: This position supports the Model Risk Management Program within the Enterprise Risk Management...
of credit risk, liquidity risk, interest rate risk, portfolio theory, and/or market risk. An ability to work in a fast paced... world’s most sophisticated clients using leading technology and exceptional service. Role/ Department: Sr Auditor, Model...
in a great summer experience. What You’ll Be Doing Assisting with Model Risk Audit testing Learning about different... types of models used in banking Documentation of testing results Helping with project coordination Who...
model validations across a diverse range of models used in credit risk, market risk, operational risk, and other areas... and willingness to learn make you a natural fit for #TeamFirstInterstate. SUMMARY Plays a crucial role in supporting model risk...
Expected Credit Loss (CECL), Comprehensive Stress Testing, Risk Adjusted Return on Capital (RAROC), and Model Risk Management..., aggregating output, and reporting on model results. 3. Utilizes data and information to aid in risk-based decision-making. 4...
with our Corporate & Investment Banking (CIB) lines of business, Corporate Treasury and second line experts in Market Risk, Valuation... Control Group, Liquidity Risk Management and Model Risk Governance. This position offers exposure to senior management...
with our Corporate & Investment Banking (CIB) lines of business, Corporate Treasury and second line experts in Market Risk, Valuation... Control Group, Liquidity Risk Management and Model Risk Governance. This position offers exposure to senior management...
in Market Risk, Valuation Control Group, Liquidity Risk Management and Model Risk Governance. This position offers... to develop your expertise in stress testing in deep market and idiosyncratic scenarios considered in Recovery and Resolution...