to be best-in-class. As a Quantitative Analyst in the Market Risk Model Development team, you will help design and implement models... analyst in model development, model validation, or quantitative risk management for Fixed Income, with a focus on Securitized...
. Background on the Position The role will reside within the Firm Risk Management's Market Risk Department (MRD) which is a team... (VaR), stress scenario analysis and limit management. > Support projects involving coverage area, such as risk analytics, market...
management needs. The new hire will join the Market Risk Analytics team to undertake research, modelling, development... Risk Management's Risk Analytics area. Risk Analytics develops market risk, credit risk and scenario analytics models...
is seeking a quantitative risk associate to join the Firm Risk Management's Risk Analytics Group. Risk Analytics develops market...Firm Risk Management Morgan Stanley's Firm Risk Management (FRM) Division is an exciting and rapidly growing space...
Risk Management's Risk Analytics area. Risk Analytics develops market risk, credit risk and scenario analytics models.... The new hire will join the Market Risk Analytics team to undertake research, modelling, development, and analysis...
of application development planning processes such as Agile, Scrum, and DevOps and change management and testing procedures... of the current compensation paid in their geography and the market for similar roles at the time of hire. The role may...
Contribute to the design and enhancement of a physical climate risk analytics platform. Process and manage catastrophe model... development of methodologies to embed physical climate risk into stress testing and capital planning frameworks. Conduct scenario...
of responsibilities, including model research and development, pricing and risk investigation, time series analysis, relative value... Quantitative Research team, you focus on delivering best-in-class models and systems to support pricing and risk management...
. Our team has a shared balanced mixture of responsibilities, including model research and development, pricing and risk... and systems to support pricing and risk management of Interest Rate Derivatives. You will have a chance to develop and maintain...
model development and validation. Candidates should also possess proven record of collaborative team engagement... in an environment with changing conditions, and deadlines. Familiarity with risk management principles and practices in financial...
management of the program plan and conduct regular status updates with the client – risk and issue mitigation...Job Description: ZS is a place where passion changes lives. As a management consulting and technology firm focused...
methodologies and reporting frameworks. Review daily risk model results and market risk limits, ensuring compliance. Collaborate... understanding of risk management and business operations. Associates will rotate through four critical risk areas, working closely...
, and model risk management (MRM) processes. Build and operate highly performant, low-latency, and highly available production..., investment management and wealth management services. The Firm's employees serve clients worldwide including corporations...
Job Title Wholesale Banking Associate - Energy Transition Job Description The Wholesale Banking Associate role.... This position calls for a professional who naturally connects with others and thoughtfully balances risk and results to strengthen...
, Financial Regulation, Microsoft Excel, Quantitative Methods, Risk Management, Securitization Additional Job Details Address...Job Description What is the opportunity? Securitization Analytics sits at the nexus of credit risk management...
on responsible investment. Malk assists private market investment managers and their portfolio companies in establishing... best-in-class environmental, social, and governance (ESG) management practices that are deployed throughout the investment lifecycle...
for the role of Associate Director in the Index Investment Strategy in the NY office of S&P Dow Jones Indices (S&P DJI). The... in a market-leading range of indices, with a particular focus on growing our indices in Direct Indexing and Models Portfolios...
. Proven experience in fraud analytics, risk management, or identity solutions within financial services, fintech, or related... industries. Strong understanding of AI/ML model development, deployment, and governance. Demonstrated success in managing...
Job Category: Vice President Job Description: FICC Quantitative Researcher, Associate / VP, New York... Responsibilities: Take a leading role on our Quantitative Trading & Market Making desk, building market making and quoting strategies...