Risk Modeling Analyst
3 weeks ago
Key Responsibilities:
- Design and implement operational workflows for valuation and risk models.
- Lead the testing and implementation of new valuation and simulation models.
- Identify and address modeling challenges in response to market conditions and business strategies.
- Perform back-testing, benchmarking, and sensitivity analysis of key model assumptions.
- Communicate complex valuation and modeling concepts to stakeholders at different levels.
- Assist with risk measurement and reporting on valuation and earnings sensitivity.
- Mentor and train junior analysts in the use of market risk models.
- Bachelor’s degree in mathematics, finance, economics, or related fields (Master’s preferred).
- 5-7 years of experience in Market Risk Management, Collateral Valuation, or ALM.
- Familiarity with fixed income, derivatives, prepay and default models, and mortgage analytics.
- Strong programming skills in VBA, MATLAB, SAS, Python, or SQL.
- Experience with PolyPaths, QRM, Empyrean, Bloomberg Terminal, and other risk platforms.
- Financial Services/Banking experience.
Work Schedule:3 days in-office, 2 days work-from-home.
Compensation:
- 5+ years of experience: $90k-$100k base salary + bonus.
- 7+ years of experience: $130k-$140k base salary + bonus.
Other: Open to H1B transfers.
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