- BMO Financial Group (Chicago, IL)
- Applies mathematical and statistical methods to financial and risk management problems (eg internal controls; enterprise-wide stress testing and scenario analysis; ... innovation and minimize the impact of uncertainty. + Develops pricing and quantitative risk models for an assigned portfolio eg fixed income, corporate credit and… more
- CARMAX (Kennesaw, GA)
- …convenient payment methods. The Senior Manager , Strategy - Credit Risk & Modeling leads strategy development and advanced analytics supporting CAF's ... a team of Analysts and partner with leaders across Servicing, Legal, Risk , Finance, and Technology to optimize Servicing, pre- and post-charge-off strategy, digital… more
- BMO Financial Group (Chicago, IL)
- …to change. Applies mathematical and statistical methods to financial and risk management problems (eg internal controls; enterprise-wide stress testing and scenario ... innovation and minimize the impact of uncertainty. + Develops pricing and quantitative risk models for an assigned portfolio eg fixed income, corporate credit and… more
- M&T Bank (Washington, DC)
- …of standard concepts, best practices and procedures within current behavioral/econometric modeling practices ,as well as credit risk management, balance ... This is a manager of direct reports position and requires in-office...systems and forecasting needs of Treasury's credit, interest rate risk , liquidity risk , CCAR (Comprehensive Capital Analysis… more
- PNC (Pittsburgh, PA)
- …to the company's success. As a Portfolio Analytics & Strategy Manager Senior within PNC's Balance Sheet Analytics & Modeling Home Lending Decision Science ... preferred * Preferred experience in analytics, portfolio management and strategies, credit risk analysis, loss forecast, economic capitals, scorecard modeling or… more
- Charles Schwab (Southlake, TX)
- …"challenge the status quo" and transform the finance industry together. The Model Risk Oversight (MRO) Program Management team resides within the Corporate Risk ... Management organization at Charles Schwab. We are responsible for model risk management at the firm. This includes developing, maintaining, and communicating proper… more
- Scotiabank (New York, NY)
- Senior Manager , US Trade Floor Risk Management, Global Risk Management **Requisition ID:** 242602 **Salary Range:** 120,900.00 - 231,400.00 _Please note ... committed to results, in an inclusive and high-performing culture. ** Senior Manager , US Trade Floor Risk...Relations team. + Require significant interaction with the Financial Engineering/ Modeling team, the Market Risk Model Development… more
- Capital One (New York, NY)
- Senior Manager , Technology Change Risk Oversight Capital One is one of the fastest growing organizations in the world today, powered by our passion for our ... their advice and to deliver high-impact results. As the ** Senior Manager , Technology Change Risk ...Execution oriented and a self-motivator + Experience with threat modeling frameworks (STRIDE, OWASP Top 10, MITRE ATT&CK) +… more
- TD Bank (New York, NY)
- …validation. + Maintain full professional knowledge of techniques and developments in FCRM modeling for Trading Surveillance and Insider Risk Management and share ... knowledge with business partners and senior management. + Assume a leadership role in developing...managing a small team. + In-depth knowledge of FCRM modeling for Trading Surveillance and Insider Risk … more
- Fannie Mae (Reston, VA)
- …or Boston. *THE IMPACT YOU WILL MAKE* We are seeking a dynamic *Quantitative Modeling Senior Associate, Internal Audit associate* to join our Internal Audit ... Job Description As a valued colleague in our model risk audit team, you will participate in audit planning...financial institution or consulting firm Internal Audit - Quantitative Modeling - Senior Associate Targe Pay Range:… more