Quantitative Modeling Quality Assurance Supervisor

1 week ago


Washington, United States Fannie Mae Full time

Job Overview

We invite you to explore an exciting opportunity within our organization. As a key member of our team, you will oversee a dedicated group responsible for ensuring the integrity of the validation process outputs, which encompasses a wide range of research in mortgage finance, including but not limited to mortgage products, borrower behavior, and financial valuation.

Your Role and Responsibilities

In this pivotal position, you will:

  • Establish and uphold a comprehensive quality assurance framework to guarantee that the model validation team's outputs meet the standards outlined in our enterprise model risk policies.
  • Advise on compliance with Model Governance through thorough reviews against internal policies and regulatory guidelines.
  • Coordinate quality assurance reviews and related program elements across various model risk governance teams and stakeholders.
  • Utilize your understanding of the business context to interpret results, monitor performance, and assess potential risks, employing mathematical and statistical techniques as necessary.
  • Deliver innovative and practical solutions that enhance business performance and align with strategic initiatives.
  • Oversee ad hoc quantitative analyses and programming tasks utilizing tools such as SAS, SQL, R, or Python.
  • Ensure that model validation teams adhere to established company policies throughout the validation process.
  • Define and maintain essential program metrics and key performance indicators.
  • Build and nurture a high-performing team, fostering a culture of continuous improvement and excellence.

Qualifications

Essential Skills and Experience

  • A minimum of 6 years in model governance, validation, or development.
  • Exceptional oral and written communication skills, with the ability to present complex information clearly and engagingly.
  • Proven ability to engage with leadership and stakeholders to drive consensus and action.
  • Strong leadership capabilities, including team management, feedback provision, and mentoring.
  • Excellent analytical and problem-solving skills, with the ability to prioritize and manage multiple tasks effectively.
  • Experience collaborating with diverse teams to achieve common objectives.
  • Proficiency in managing project plans and resources to ensure successful outcomes.
  • Expertise in quantitative analytics within the financial services sector, particularly in credit and interest rate risk.
  • Familiarity with statistical methods and experimental design.

Preferred Skills and Experience

  • A Bachelor's degree or equivalent experience.
  • Experience in Governance and Compliance, including policy interpretation and standards enforcement.
  • Background in Risk Assessment and Management.
  • Proficiency with reporting tools such as Tableau, Excel, or PowerBI.
  • Experience with programming languages like SAS, SQL, R, or Python.
  • Experience in Learning and Training, including instructional design.

Additional Information

We are committed to creating a diverse and inclusive workplace. All qualified applicants will receive consideration for employment without regard to any legally protected status.

This position is eligible for participation in an incentive program, subject to its terms. Our comprehensive benefits package supports the physical, mental, emotional, and financial well-being of our employees.



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