• Quantitative Model Validation Officer III-…

    Truist (Atlanta, GA)
    …level model validation for the corporation. Focus primarily on model validation and quantitative analysis , but also evaluate other model controls and serve as ... 3. Independently perform model validations spanning multiple domains (eg, credit risk, market risk, capital planning) to...as a consultant on model related projects, performing advanced quantitative analysis on models in development or… more
    Truist (11/12/25)
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  • Quantitative Risk Analyst

    M&T Bank (Bridgeport, CT)
    …as assigned. **Education and Experience Required:** Bachelor degree in Mathematics, Statistics, Quantitative Analysis or another technical discipline, OR in lieu ... of 2 years relevant experience. -OR- Master's degree in Mathematics, Statistics, Quantitative Analysis or another technical discipline. Minimum of 2 years… more
    M&T Bank (11/21/25)
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  • Fair Banking Quantitative Risk Manager

    M&T Bank (Clanton, AL)
    …4 years supervisory/management experience) -OR- Master's degree in mathematics, Statistics, Quantitative Analysis or another technical discipline and a minimum ... and regulators. + Act as a liaison for all Quantitative Risk Management projects for Senior Management related to...analyze data across large databases. **Education and Experience Preferred:** Credit Analysis experience. M&T Bank is committed… more
    M&T Bank (10/28/25)
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  • Quantitative Financial Analyst

    Bank of America (New York, NY)
    …experience relating to financial modelling and model uses, particularly in trading models, market risk models and Counterparty Credit Risk models + Familiar with ... Quantitative Financial Analyst New York, New York;Atlanta, Georgia;...model change management. + Performs review of model development analysis and on-going model performance testing to assess the… more
    Bank of America (11/25/25)
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  • Quantitative Senior Associate, Real Estate

    Manulife (Los Angeles, CA)
    Manulife Investment Management is seeking a real estate analytics and Quantitative Senior Associate to join the Portfolio Management team! The investment ... to develop and/or improve the functionality to competitive standards for internal analysis and LP reporting. + Synthesize modeling outputs in real-time for senior… more
    Manulife (12/04/25)
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  • Vice President - Market Risk

    NatWest Markets (Stamford, CT)
    …risk appetite, including coverage of Rates, Credit ,FXand Treasury positions. Perform analysis on Risk Weighted Assets to ensure market risk capital is ... working days must be carried out in the United States. **Job description** NatWest Markets Securities Inc. (NWMSI) seeks a VP, Market Risk for its Stamford,… more
    NatWest Markets (11/14/25)
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  • Credit Risk Analytics - Team Lead

    Mizuho Corporate Bank (New York, NY)
    …is seeking a highly skilled Executive Director with extensive hands-on experience in Quantitative Credit Modeling to join our dynamic and high pace growing ... for credit risk modeling. Responsibilities + Manage a team of 7 quantitative developers focused on specialized credit risk analytics supporting credit more
    Mizuho Corporate Bank (12/03/25)
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  • Portfolio Mgr. - EIM Public Markets

    FM (Waltham, MA)
    …economics related experience across asset classes, and risk and quantitative analysis . Broad knowledge in the financial markets and investments across asset ... return and attribution reporting, and work with risk and quantitative analysis team for risk and exposure...and/or financial risk management 11-15 years of global financial market experience across asset classes Global financial markets more
    FM (10/10/25)
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  • Global Markets : Executive Director…

    CIBC (New York, NY)
    …Pricing capabilities in multiple asset classes would be an asset. + Perform various market analysis in support of new product idea development + Knowledge of ... banking arm of CIBC provides a wide range of credit , capital markets , investment banking, merchant banking...Commodity markets is a huge plus + Perform … more
    CIBC (11/20/25)
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  • Model Validation Director - Treasury…

    US Bank (Minneapolis, MN)
    …to assess and manage risks that may impact the company, including credit , financial, liquidity, market , operational, reputational, strategic, and other risks ... an experienced Model Validation Director for our Treasury & Markets risk areas and will reside within the Bank's...models including treasury, liquidity, PPNR, mortgage servicing rights, counterparty credit risk and market risk models. +… more
    US Bank (11/11/25)
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