- Bank of America (Wilmington, DE)
- …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
- Citigroup (Getzville, NY)
- … monitoring across all institutional business including Corporate Banking, Services, and Markets relationships. ICM Risk Analysis Credit Risk Analysts ... Financial Institutions Clients by performing fundamental credit analysis of counterparties using both quantitative and...credit analysis of counterparties using both quantitative and qualitative factors + Complete Credit … more
- Capital One (New York, NY)
- Head of Product, Commercial Bank Capital Markets **Capital Markets | Head of Product | Senior Director** The Capital Markets Group is a high growth business ... customer derivatives. As the Head of Product for Capital Markets you will be responsible for the business software...our Structured Finance, Investment Banking, Derivatives, M&A, and Tax Credit Finance platforms. + Partner with business leaders to… more
- Mizuho Corporate Bank (New York, NY)
- …analytics. + Perform quantitative research to follow current best practice for credit models and conduct analysis of existing model deficiencies and design ... for credit risk modeling. Responsibilities + Manage a team of 5 quantitative developers focused on specialized credit risk analytics supporting credit … more
- M&T Bank (Clanton, AL)
- …Develop and maintain models to value and forecast performance of CMSRs. + Support analysis and reporting of the Capital Markets residential mortgage pipeline & ... market interest rates and pricing, will assess market risks and opportunities to ensure Capital Markets.... + Comprehensive understanding of the relevant instruments and markets . + Strong financial, quantitative , economic, analytical,… more
- 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
- Wells Fargo (Charlotte, NC)
- …challenges within capital markets , from ticking risk for trading desks to market risk and capital calculations such us FRTB and CCAR. **In this role, you ... + 2+ years of Process re-engineering experience identification of root cause analysis and remediation within Capital Markets . + Excellent verbal, written,… more
- Mizuho Corporate Bank (New York, NY)
- …the Team: The Americas Credit Department Real Estate team is responsible for credit analysis conducted in connection with approval of credit transactions ... monitoring, analysis , standards and policies. Qualifications: Proven credit analysis skills and related analytical skills/knowledge/abilities: +… more
- Santander US (Dallas, TX)
- …role also involves development and maintenance of sophisticated empirical models - including credit scoring models. The position is highly quantitative in nature ... and requires an individual capable of taking a "hands-on" approach to data analysis . You will work closely with credit risk, finance, data science, and product… more
- Bank of America (Charlotte, NC)
- …risk ratings, while recommending changes as warranted + Assists in the underwriting, credit risk analysis , negotiation, and closing of new transactions or ... transaction analyses, conduct research, and prepare supporting documentation for transaction credit approval + Performs intensive qualitative and quantitative … more