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The Centralized Modeling & Analytics (CMA) team within State Street's Enterprise Risk Management (ERM) organization is looking for an experienced quantitative analyst to join our team in Boston, MA; Stamford, CT OR Clifton, NJ.
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Quantitative Finance Analyst -Financial Crimes Data Analyst. 2+ years of experience in model development, statistical work, data analytics or quantitative research or PhD. Graduate degree in quantitative discipline (e.g. Mathematics, Economics, Engineering, Finance, Physics.
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Assistant Vice President, Quantitative Analyst The Organization: Morningstar DBRS is a global credit ratings business, currently with 700 employees in eight offices globally. The role:Building, validating, testing, and reviewing of quantitative models (default models, cashflow models, capital models, regression models, time series models) that support our ratings across asset classes of ABS, CMBS, Covered Bond, RMBS, Structured Credit, Corporates.
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This position involves leading risk management operations for power trading, conducting quantitative modeling, and contributing to strategic decision-making processes. Conduct quantitative research and modeling tasks related to industry trends, energy markets, and commercial activities, utilizing tools such as artificial intelligence and machine learning.
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We are seeking a Senior Research Analyst to help develop MLT’s insights on advancing racial equity and socioeconomic mobility. The Senior Data Analyst will work with members of the Insights Team and key internal partners to munge, analyze, model, and interpret data to answer key questions that advance our insights agenda.
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Reporting to the University Registrar and Director of Institutional Research, the Hispanic Serving Institution (HSI) Data Analyst collects, processes, and reviews a variety of quantitative and qualitative data to assist the University in its strategic goals.
$66,560 - $72,500 a yearFull-timeExpandApply NowActive JobUpdated 3 days ago - UpvoteDownvoteShare Job
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PhD in Educational Measurement, Quantitative Psychology, I-O Psychology, or related discipline. Our core operational staff includes Psychometricians/Quantitative Analysts. Use a variety of analytic tools (e.g., Excel, SPSS, SAS, R, Python, IRT software.
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The Sr. Quantitative Portfolio Analyst will be responsible for supervision and implementation of quantitative portfolio management for retirement management account and non-discretionary model portfolios.
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Senior Financial Analyst - CCAR Modeling is a newly created role within the centralized Strategic Modeling and Analytics (SMA) Team in First Citizens Bank’s Treasury Department. Master’s degree in statistics, economics, econometrics, applied mathematics, quantitative finance or related field is preferred.
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The LA FIRST Policy Research Analyst is responsible for supporting a wide range of public policy research and data management with a focus on quantitative analysis of large administrative data sets and building subject matter expertise in criminal justice issues in Louisiana.
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The individual is expected to develop quantitative analytics and perform financial modeling, as well as the ongoing business support for all analytics requirements from the BAM Insurance Solution team.
$115,000 - $150,000 a yearFull-timeExpandApply NowActive JobUpdated 2 days ago - UpvoteDownvoteShare Job
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Assistant Vice President, Quantitative Analyst. Building, validating, testing, and reviewing of quantitative models (default models, cashflow models, capital models, regression models, time series models) that support our ratings across asset classes of ABS, CMBS, Covered Bond, RMBS, Structured Credit, Corporates.
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The Associate Director, Senior Quantitative Analyst is a critical member of the model validation team within the Model Risk Management (MRM) Responsibilities range in activities including risk governance and reporting, model inventory, model validation and model performance oversight.
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The Capital & Investment Risk Management (C&IR) team within Enterprise Risk Management (ERM) is looking for a Quantitative Risk Analyst to support business initiatives in a highly collaborative environment.
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Prior 1-2 years' experience as a risk modeler, risk analyst, credit risk analyst or portfolio analyst in financial industry is preferred. Bachelor's degree in quantitative fields such as Statistics/Data Science/Econometrics/Mathematics/ Business Analytics preferred.
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