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The Quantitative Risk Associate Director is a critical member of the model validation team within the Model Risk Management (MRM). Broad expertise in quantitative finance on valuation models (curve building methodologies, term structure models, option models, credit models), and risk management models and methodologies (Greeks, VaR, back testing, stress testing.
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Apply quantitative risk valuation models and tooling to inform and support strategic and tactical risk-based decisions. The American Heart Association has an excellent opportunity for a Sr. Cyber Risk Analyst in our National Center office located in Dallas, TX. (Home-based work available) The Business Technology (BT) Sr. Cyber Risk Analyst is responsible for risk identification and management across the BT department and the overall American Heart Association organization.
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5+ years of experience as a Quantitative Developer, Data Scientist, or a similar role in the financial industry, preferably with hedge funds, proprietary trading firms, or financial technology providers.
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A Crypto Asset Manager is looking to onboard an experienced Head of Quantitative Research to oversee their alpha generation efforts across Crypto trading. Prior Quantitative Trading experience working on Alpha Generation for intraday strategies.
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Assist in the identification of quantitative and qualitative technology risk metrics. The Enterprise Risk Management (ERM) team within GRM is seeking a Technology Risk & Controls Manager to support several operational resilience remediation initiatives in relation to the upcoming Digital Operational Resilience Act (DORA) regulation.
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Quantitative Development team is part of Asset Management’s Quantitative Research & Investment Technology group that partners with the investment teams in Strategic Advisers on various projects including portfolio construction, risk management, and alpha research.
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QUALIFICATIONS: Minimum education and experience required: Master's degree in Information Systems, Finance, Economics, Business, Mathematics, Quantitative Finance, or related field of study plus One (1) years of experience in the job offered or as Market Risk, Graduate Assistant, Data Scientist, or related occupation.
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The TES Strats team is looking for world class quantitative analysts to drive optimizations of trade execution strategies, funds transfer pricing, and risk management. How you will fulfill your potential: Develop software and analytics to progress Corporate Treasury’s mandates: interest rate pricing & risk management, trade execution, funding optimization & liquidity risk management and cash & collateral management Optimize the firm’s liability stack by developing balance sheet analytics and hedging strategies Actively engage with Corporate Treasury Trading, supporting valuation and risk/P&L reporting.
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Provide SME-level support on insider risk matters leveraging knowledge of insider threat, cyber security, and counterintelligence. 8+ years of work experience supporting insider threat/risk and/or counterintelligence program, investigations or risk analysis.
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Firm Risk Management (FRM) supports Morgan Stanley to achieve its business goals by partnering with business units across the Firm to realize efficient risk-adjusted returns, acting as a strategic advisor to the Board and protecting the Firm from exposure to losses as a result of credit, market, liquidity, operational, model, and other risks.
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GRM manages and continues to enhance Enterprise Risk Management, Internal Control, Business Continuity, Crisis Management, and Corporate Insurance frameworks and programs. Experience in implementing and supporting a technology risk management framework and/or technology internal controls framework in a complex organization.
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The employer will alternatively accept a Doctorate ( degree in Mathematics, Statistics, Engineering, Physics, Economics or related field of study plus 1 year of experience in the job offered or as Quantitative Research Analyst, Capital Market Analyst, Research Assistant, or related occupation.
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QRM also carries out quantitative analysis and other analytical support to firms' risk management and other business needs. Quantitative Risk - DirectorJersey City, NJ - onsiteDirect hire - $181,000 - $200,000 JOB DESCRIPTION: Being a member of the Quantitative Risk Management Team (QRM), the Quantitative Risk Director will be responsible for the development and support of models and methodologies for the quantification of risk.
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This job description represents different full-time roles across Meta. We use a variety of qualitative and quantitative methods to accomplish our goals, including surveys, focus groups, field studies, usability tests, and 1:1 interviews.
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Job Details Description POSITION SUMMARYThe Director, Investment Operations and Risk Management reports to the Chief Investment Officer but will also work closely with the rest of the investment team, members of the finance team, and members of the Philanthropies team on mission-related investments.
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Title: quantitative risk Company: Federal Home Loan Bank Of Cincinnati in New York, NY
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