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Sr. Quantitative Risk Analyst
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Full-time
- Provides advanced-level analysis in support of recommendations and management information related to profitability trends, market risk exposure, prepayment activity, market risk modeling practices, and other financial and risk related characteristics of the balance sheet.
- Initiates, evaluates, develops, implements and maintains new or enhanced processes and systems for advanced financial and market risk analysis, both external third-party software and advanced spreadsheet/database/programming platforms.
- Directs and fully participates in the use, development, and maintenance of various market risk, prepayment, default, and earnings simulation models
- Initiates and actively supports efforts to develop, build consensus, apply and maintain the enterprise risk management function and program, especially related to market risk, earnings, capital, and credit risk.
- Industry certifications such as CFA, FRM, and CQF are a plus.
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