- TD Bank (Charlotte, NC)
- … appetite. **The Retail Model Validation (MV) group is part of the Model Risk Manageme** **nt** **function within the Bank** . The Retail model ... Risk Management **Job Description:** The Senior Manager Group Risk leads, develops and oversees a... validation that are compliant with the Bank's internal Model Risk Policy, adhere with industry best… more
- Citigroup (New York, NY)
- **Enterprise Stress Testing Senior Group Manager - Liquidity Risk ** **and Non -Traded Market Risk ** **Team/Role Overview** This role sits in Enterprise ... or risk management fields, including liquidity, Non -traded market risk management, model ...SAS, R, Python or other programing languages **Job Family Group :** Risk Management **Job Family:** Risk… more
- BMO Financial Group (Chicago, IL)
- …Senior Manager to join their team. The Senior Manager, ONFR Programs within the Operational Non -Financial Risk (ONFR) team, will lead one or more of the ONFR ... + Leads/participates in the design, implementation and management of core business/ group processes. + Administers and maintains operational risk program… more
- Santander US (New York, NY)
- …Capital Markets. Key Responsibilities + Support Independent Model Review with Model Risk Management Group : + Perform qualitative and quantitative ... Market Risk Model Testing & Documentation -...and insights clearly and concisely to both technical and non -technical audiences, including regulatory staff members. + Collaborate within… more
- Capital One (Richmond, VA)
- …Assistant (Administrative Support Assistant III), Business Card & Payments Regional Sales, Model Risk Management Capital One is looking for an exceptionally ... general administrative duties (copying), distributing mail, ad-hoc projects, committees and/or group events + Promote a fun and team-oriented work environment **At… more
- Citigroup (New York, NY)
- The Global Rates Team within the Market Risk Management group is responsible for the oversight of this business. This role is for a Risk Manager, located in ... Rates Trading business in the region and cover the Non -Linear side. The G10 NAM Rates Trading business is...Business Intelligence experience not required, but useful. **Job Family Group :** Risk Management **Job Family:** Market … more
- Federal Reserve Bank (Boston, MA)
- **Company** Federal Reserve Bank of Boston Senior Risk Analyst I, Non -Banks and Financial Stability The Supervisory Research and Analysis Unit (SRA) is an ... the Conference of Presidents Financial Stability Committee, Quantitative Surveillance Group , Model Oversight Group , Large...Bank of Boston has an opening for a Senior Risk Analyst I to provide data, analytical, and research… more
- BMO Financial Group (Chicago, IL)
- …the manager, as per guidelines. + Monitors the financial market environment and market risk model performance impacts for optimal execution of risk ... of core business/ group processes. + Administers and maintains the market risk monitoring and control program activities in adherence to all policies, procedures… more
- Truist (Atlanta, GA)
- …engagement and interaction with Corporate Treasury personnel, subject matter experts, auditors, model risk management personnel, and the Chief Market and ... following job description:** As a senior member of the Market and Liquidity Risk Management (MLRM) team within the Risk Management Organization (RMO), provide… more
- BMO Financial Group (Chicago, IL)
- …Agility. + Systems Thinking. Intermediate level of proficiency: + IFRS9 and CECL + Model risk management. + Data visualization. + Data wrangling. + Data ... Applies mathematical and statistical methods to financial and risk management problems (eg internal controls; enterprise-wide stress testing and scenario analysis;… more
- TD Bank (Mount Laurel, NJ)
- …plans to drive business results, strategy and decisions. **The Model Validation (MV) group is a centralized Model Risk Management function within the ... the effective measurement and management of model risk across the TD Bank Group . The...the organization - identify and manage risks, and escalate non -standard, high risk transactions / activities as… more
- Citigroup (Queens, NY)
- …meetings with stakeholders. Document detailed model validation outcomes in accordance with Model Risk Management Policy and Procedure. Develop key model ... validation findings and performance analysis; Technical writing of model validation reports; Model Risk ...EO Employer. Wage Range: $176,400 to $182,000 Job Family Group : Risk Management Job Family: Risk… more
- Lincoln Financial Group (Columbus, OH)
- …This position will lead a team that is responsible for a pricing and rating model for all the Gorup Benefits Products. They will provide subject matter expertise for ... and perform complex actuarial analysis and provide recommendations for leveraging the pricing model across the business unit. The model will directly feed… more
- TEKsystems (Jersey City, NJ)
- …on strategic GRA platforms. Outputs include GRA libraries that perform consumer risk model calculations, analytical tools, processes and documentation. Partner ... with Technology Team to support model execution. * Collaboration with Enterprise Model Risk Management to support model validations, and quickly and… more
- Citigroup (Tampa, FL)
- …overall performance. + Conduct reliability analyses and perform quality control of modeling data and model results. + Manage model risk across the entire ... + Prepare and deliver training materials, presentations, and reports on credit risk analytics for technical and non -technical audiences. + Provide leadership… more
- PNC (Cleveland, OH)
- …model audit activities and would work with the Primary Model Owner (PMO) and Model Risk Management Group (MRMG) to ensure that PNC Bank's high impact ... Skills** Analytical Thinking, Credit Risks, Data Analytics, Financial Analysis, Model Development, Operational Risks, Quantitative Models, Risk Appetite… more
- SMBC (New York, NY)
- …unstructured data, and using statistical, financial, BI and AI techniques. Based on model results, establish thresholds, at- risk levels and exposure limits by ... SMBC Group is a top-tier global financial group...using statistical, financial, BI and AI techniques. Based on model results establish thresholds, at- risk levels, and… more
- Morgan Stanley (New York, NY)
- …analytic models. Contribute to the identification, assessment, and monitoring of US Bank Model Risk . Conduct special studies and analyses to understand cross ... _Morgan Stanley Services Group Inc. seeks a Vice President, Risk...model dependencies and consistencies in assumptions. Assist with Model Risk Management contributions to the Bank… more