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Model Risk Analyst
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- execution of Model Risk regulatory requirements for all active and in-development quantitative models and will support Model Governance Infrastructure implementation under supervision
- The Model Risk Analyst is responsible for multiple facets of the overall project management and execution process, including: Developing, reviewing, and documenting
- models within different business units; Justifying modeling assumptions and model results to internal model validation group and external regulators; Supporting the model owner, in the
- identified by internal model validation group; Engaging with internal model validation group, for each class of models to be validated (FX Sales & Trading, Portfolio Solutions, Securities
- Master’s degree or its equivalent in Computational Finance, Financial Mathematics, Financial Engineering, Mathematics, Statistics, or related qualitative field; plus 2 years as a Model Risk Analyst or any occupation/title providing experience in a model risk field in financial markets and leading project management in large financial services company.
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