- Fannie Mae (Washington, DC)
- Job Description *THE IMPACT YOU WILL MAKE* The * Mortgage Credit Risk and Capital Analytics Advisor (Flexible Hybrid)* role will offer you the flexibility ... appetite limits and/or key risk indicators * Experience with mortgage credit analytics, economic capital and/or GSE regulatory capital framework… more
- Capital One (Mclean, VA)
- Senior Manager, Quantitative Analysis - Model Risk Management At Capital One data is at the center of everything we do. As a startup, we disrupted the credit ... a Senior Manager of Quantitative Analysis within the Model Risk Office, you will be part of the validation...of the validation team responsible for Investment Portfolio and Mortgage Prepayment models used for Capital One's… more
- NVR (Reston, VA)
- Capital Markets Associate Job Category Mortgage / Title Market Location VA - Northern Virginia Location VA - Reston Apply Now ... to talk to you! Launch your career as a Capital Markets Associate in the mortgage division...the company looks to manage and mitigate interest rate risk for our multi-billion dollar mortgage pipeline.… more
- Capital One (Mclean, VA)
- Principal Associate - Quantitative Analyst At Capital One data is at the center of everything we do. As a startup, we disrupted the credit card industry by ... and a leader in the world of data-driven decision-making. As a Quantitative Analyst at Capital One, you'll be part of a team that's leading the next wave of… more
- Fannie Mae (Washington, DC)
- …programming * Desired analytical skills: * Experience identifying and determining levels of mortgage risk and provide remediation for risk reduction * ... preferred * Must have adequate knowledge of Single Family mortgage business and risk and understand stress...financial institutions * Adequate quantitative knowledge to understand quantitative credit risk models, and their model rationale… more
- Fannie Mae (Washington, DC)
- …development * Expertise in quantitative analytics applied to one or more areas within credit , interest rate, counterparty credit risk , and/or fixed income ... the theoretical and empirical research in all areas of mortgage finance business, including mortgage products and...rate, financial valuation of finance assets and derivatives, economic capital , and stress testing. In this role, you will… more
- Fannie Mae (Washington, DC)
- …the organization, by applying data analytics skills, advanced tools or techniques, and credit risk management knowledge. * Analyze risks and research solutions. ... Required Experience * 4 years relevant experience; 5 years preferred * Mortgage industry experience strongly preferred * Hands-on risk management experience… more
- Fannie Mae (Washington, DC)
- …support the single-family business in the structuring of Fannie Mae's Credit Risk Transfer (CRT) deals to optimize capital efficiency. Your efforts will ... to optimize its multi-billion-dollar CRT program, which covers both Capital Markets as well as reinsurance executions. Work will... mortgage space * Knowledge of Fannie Mae's credit risk transfer program and products *… more
- CGI Technologies and Solutions, Inc. (Reston, VA)
- …test cases and test applications for systems used for a variety of analytical, pricing, risk management or credit pricing to ensure the business needs are met ... * Confer with product managers, business unit management and capital markets staff to determine analytical or product-related needs...& Data Analysis, preferred * Subject matter expertise in mortgage finance, fixed Income analysis and risk … more
- Fannie Mae (Washington, DC)
- …goal * Experience in quantitative analytics applied to one or more areas within credit , interest rate, counterparty credit risk , and/or fixed income ... public and proprietary data in all areas of the mortgage finance business. This may include mortgage ...rate, financial valuation of finance assets and derivatives, economic capital , and stress testing. *In this role, you will… more
- PenFed Credit Union (Mclean, VA)
- …+ Maintains an in-depth knowledge of fixed income instruments including mortgage -related products, auto loans, credit card products, indeterminate maturity ... analysis and reporting for multiple portfolio/products. Works with the Credit Team and Business Units to understand various products...deposits, and interest rate risk measurement concepts such as market valuation, spreads, prepayments,… more