- Fannie Mae (Reston, VA)
- …finance business. This role focuses on areas such as interest rate modeling, market risk analysis , funding and liquidity risk management, and capital markets ... Plano, or Boston. *THE IMPACT YOU WILL MAKE* The * Quantitative Model Audit Lead *role will offer you the...interest rate risk management practices, including market risk analysis , interest rate hedges * Knowledge… more
- Fannie Mae (Washington, DC)
- …you will coach and mentor team members. *THE IMPACT YOU WILL MAKE* The* Lead Quantitative Modeler* role will offer you the flexibility to make each day your own, ... and the input data used by those models to generate market risk sensitivity measurements. Leverage those evaluations to understand the differences between… more
- NY CREATES (Albany, NY)
- … risk tiering and continuous monitoring Audit management and evidence repository Quantitative risk analysis : FAIR model, Monte Carlo simulation, ... and internal audit training pathways. Critical thinking to perform scenario-based risk analysis , challenge assumptions, and align compliance with mission… more
- Neuberger Berman (New York, NY)
- …is integral to the Private Wealth Investment Risk team, focusing on risk measurement, attribution, and analysis for a range of portfolio management teams. ... investment risk analytics. **Responsibilities:** + Provide day-to-day coverage and analysis of the investment strategies across fixed income and equity for… more
- Fannie Mae (Reston, VA)
- …the ability to explain technology solutions and processes in business terms Enterprise Model Risk - Quantitative Modeling - Lead Associate 138,000 - 180,000 a ... will help manage and perform analytics and reporting functions supporting model governance and risk management. *THE IMPACT YOU WILL MAKE* The * Model Risk … more
- Fannie Mae (Washington, DC)
- …familiarity with financial institution balance sheet risk management. Enterprise Capital Markets Risk - Risk Analysis - Senior Associate Target Pay ... related field * Experience in financial markets, portfolio management, market risk analytics, and/or advanced education demonstrating quantitative , analytical… more
- Xcel Energy (Denver, CO)
- …is commensurate with their skills and experience.** **Position Summary** Perform credit risk analysis , modeling, and reporting, including Mark to Market, and ... publish reports for management. Monitor proprietary trading portfolio. Perform credit risk analysis , allocations, and revisions. Optimize collateral in… more
- Legend Biotech USA, Inc. (Raritan, NJ)
- …and procurement-related documentation.Make recommendations for supplier selection based on quantitative and qualitative analysis .Negotiate contract terms within ... of an immunotherapy in the treatment of multiple myeloma.Legend Biotech is seeking Manager , Site Indirect Procurement as part of the Supply Chain team based in… more
- Sallie Mae (Newark, DE)
- …future generations, for the future of education. **What You'll Contribute** As a Manager , Loan Program Management at Sallie Mae, you will apply your strategic and ... of analytical dashboards that track credit portfolio performance and portfolio risk metrics. + Support forecasting of future credit portfolio performance for… more
- Neuberger Berman (New York, NY)
- **_Job Description:_** We are seeking a Separately Managed Account (SMA) Product Manager to support the firm's taxable and tax-exempt fixed income SMA products. This ... to enhance and position products to maximize competitive advantages. As the Product Manager , you will be responsible for driving SMA product initiatives in the… more
- Neuberger Berman (New York, NY)
- …Investment Technology team is seeking a technically strong, self-directed Technical Product Manager to build and scale products that serve portfolio managers and ... Serve as the principal liaison between investment stakeholders (PMs, analysts, risk , trading) and engineering, translating needs into clear product requirements and… more
- Ally (Austin, TX)
- …will include leading the asset management strategy development and performance analysis for the customer solutions group. This individual will be leading ... Asset Management organization, as well as partner groups such as finance, compliance, legal, risk and technology. **The Work Itself** * Own the roadmap for Ally Auto… more
- Somatus (Mclean, VA)
- …physical and mental well-being + Community engagement opportunities + And more! The Manager , Actuary role will require the ability to evaluate complex risks and ... the healthcare space. Utilize mathematics, statistics, and financial theory to assess the risk that may occur and help the business and clients develop business… more
- Neuberger Berman (New York, NY)
- We are seeking a technically strong, self-directed Product Manager with deep investment management experience to lead solutions across NB's investment platforms (eg, ... design, documentation, and delivery-partnering closely with portfolio managers, traders, risk , operations, engineering, and strategic vendors to build high-quality,… more
- Neuberger Berman (New York, NY)
- …proactively monitor servicing, and resolve front-to-back issues impacting execution, risk , performance attribution and reporting. The role centralizes Aladdin ... closely with Middle Office, Custodians, Brokers, Technology, Compliance, and Risk . Responsibilities Include: + Provide dedicated operational support to investment… more
- Tradeweb (Jersey City, NJ)
- We are seeking an experienced Senior Product Manager to join our Technology organization, supporting the design, delivery, and continuous evolution of electronic ... build business cases, develop project charters, and manage resources, timelines, and risk in accordance with PMO standards. + **Requirements & Delivery Oversight** :… more
- Oatey (Cleveland, OH)
- …leadership and management experience in a LEAN / 6Sigma environment. + Quantitative and qualitative data analysis experience including business process metrics ... model for our ERP system. Help identify forecast risks and develop effective risk mitigation plans. Document the assumptions incorporated in the demand plan and… more
- Fannie Mae (Washington, DC)
- …to call home. Job Description As a Lead Associate, you will support Fannie Mae's analysis of fair lending compliance and litigation risk . You will be part of ... a small and impactful team of quantitative fair lending professionals using statistical methods to evaluate...tools, products, policies, and initiatives for compliance and litigation risk . *THE IMPACT YOU WILL MAKE* The *Fair Lending… more
- FM (Waltham, MA)
- …investments, risk management and economics related experience across asset classes, and risk and quantitative analysis . Broad knowledge in the financial ... CFA, CAIA or other advanced degree related to investments, economics, finance, or quantitative analysis preferred 8+ years of relevant experience in investments,… more
- Banc of California (Santa Ana, CA)
- …/modeling such as Macros, Pivot tables, Index-Match, Offset + Experience with Quantitative Risk Management ALM Platform (QRM/Empyrean) + Ability to multi-task ... and more. TOGETHER WE WIN(R) **THE OPPORTUNITY** The ALM Quantitative Analyst performs Asset/Liability Modeling analysis for...**HOW YOU'LL MAKE A DIFFERENCE** + Perform Interest Rate Risk Modeling and Analysis using QRM/Empyrean system.… more
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