best solutions to their complex challenges. Develop/validate/review Credit Risk models (e.g. AIRB, IFRS 9, CECL, adjudication... (EAD), as well as a comprehensive understanding of supervisory and regulatory requirements pertaining to credit risk models...
best solutions to their complex challenges. Develop/validate/review Credit Risk models (e.g. AIRB, IFRS 9, CECL, adjudication... (EAD), as well as a comprehensive understanding of supervisory and regulatory requirements pertaining to credit risk models...
. During your typical day you will develop/validate/review Capital Markets and Market Risk models (e.g. Financial Derivatives Pricing..., VaR, Counterparty Credit Risk, XVA, FRTB, IBOR Transition and CCAR models) based on industry best practices. You will also be able...
. During your typical day you will develop/validate/review Capital Markets and Market Risk models (e.g. Financial Derivatives Pricing..., VaR, Counterparty Credit Risk, XVA, FRTB, IBOR Transition and CCAR models) based on industry best practices. You will also be able...
like? In this role you will help financial services industry (FSI) clients face quantitative issues with informed confidence... best solutions to their complex challenges. Develop/validate/review Large Language Models models (LLMs) based on industry...
like? In this role you will help financial services industry (FSI) clients face quantitative issues with informed confidence... best solutions to their complex challenges. Develop/validate/review Large Language Models models (LLMs) based on industry...
. Experience with financial statements, portfolio analysis, risk assessment techniques, and credit rating & loss models is an asset.... As part of this team, you will be responsible for the following: Develop, implement, and validate financial models for risk...
. Experience with financial statements, portfolio analysis, risk assessment techniques, and credit rating & loss models is an asset.... As part of this team, you will be responsible for the following: Develop, implement, and validate financial models for risk...
, the Associate Director, Counterparty Credit Risk Analytics is responsible for the conceptual design, development..., and ongoing maintenance of the mathematical models used for the measurement and capitalization of the counterparty credit risk...
? What will your typical day look like? As a Senior Associate focusing on Insurance practice in our Financial Engineering & Modelling team... with our exponentially expanding the Risk, Regulatory & Forensics, Financial Engineering & Modeling (FEM) group? Are you up for the challenge...
? What will your typical day look like? As a Senior Associate focusing on Insurance practice in our Financial Engineering & Modelling team... with our exponentially expanding the Risk, Regulatory & Forensics, Financial Engineering & Modeling (FEM) group? Are you up for the challenge...
Senior Associate Job Description & Summary A career in our Financial Risk Management practice will provide you with the.... Meaningful work you’ll be part of As a Financial Instruments, Valuation and Governance Senior Associate, you'll work as part...
Job Summary Responsible for the development of Basel 3 Endgame across market risk, counterparty credit risk... Opportunity? As part of the Group Risk Management team, the Associate Director, Market Risk Analytics is responsible for the...
your career with our exponentially expanding Financial Engineering and Modelling group? Are you up for the challenge to help the... Management models (e.g. Structural Interest Rate Risk, Liquidity Stress Testing, Capital Adequacy, Fund Transfer Pricing...
your career with our exponentially expanding Financial Engineering and Modelling group? Are you up for the challenge to help the... Management models (e.g. Structural Interest Rate Risk, Liquidity Stress Testing, Capital Adequacy, Fund Transfer Pricing...