... and graphical methods. Degree in a quantitative field such as mathematics, physics ... , computer science, quantitative finance, or a related field is ... data scientists and risk modelers throughout the entire model development cycle to ...
4 godziny temu
... to assess the IRRBB risk metrics. Use the quantitative expertise to design ... models through assessment of impact, model validation, and helping document changes ... the objectives to model development / testing, model documentation, on-going model assessment and ...
29 dni temu
... to assess the IRRBB risk metrics. Use the quantitative expertise to design ... models through assessment of impact, model validation, and helping document changes ... the objectives to model development / testing, model documentation, on-going model assessment and ...
2 dni temu
... or PhD degree in a quantitative discipline like Financial Mathematics, Statistics ... , Econometrics, Quantitative Finance, Economics or Engineering. Experience ... dictated by the Global Model Risk Policy including the assessment ...
16 dni temu
... ’s or PhD degree in a quantitative discipline like Financial Mathematics, Statistics ... , Econometrics, Quantitative Finance, Economics or Engineering. Some ... as dictated by the Global Model Risk Policy including the assessment ...
23 dni temu
... ’s or PhD degree in a quantitative discipline like Financial Mathematics, Statistics ... , Econometrics, Quantitative Finance, Economics or Engineering. Some ... as dictated by the Global Model Risk Policy including the assessment ...
27 dni temu
... or PhD degree in a quantitative discipline like Financial Mathematics, Statistics ... , Econometrics, Quantitative Finance, Economics or Engineering. Experience ... dictated by the Global Model Risk Policy including the assessment ...
5 dni temu
... Financial Mathematics, Statistics, Econometrics, Quantitative Finance, Economics or Engineering. ... the embedding of new Global Model Risk Policies and Procedures. Provide ... resolved. Communicate across technical quantitative, business, and strategic levels ...
13 dni temu
... Financial Mathematics, Statistics, Econometrics, Quantitative Finance, Economics or Engineering. ... the embedding of new Global Model Risk Policies and Procedures. Provide ... resolved. Communicate across technical quantitative, business and strategic levels ...
23 dni temu
... or PhD degree in a quantitative discipline like Financial Mathematics, Statistics ... , Econometrics, Quantitative Finance, Economics or Engineering. Knowledge ... dictated by the Global Model Risk Policy including the assessment ...
24 dni temu
... or PhD degree in a quantitative discipline like Financial Mathematics, ... Statistics, Econometrics, Quantitative Finance, Economics or Engineering. ... Strong understanding of model development or model risk management processes Experience ...
15 dni temu
... of credit risk analysis experience. Good exposure to credit model methodologies data ... , model development and execution. Design impact analyses for the calculation of Risk ... with internal Independent Model Review team during model monitoring and review ...
9 dni temu
... (Masters or PhD preferred) in Quantitative Finance or in a numerical subject ... the fields such as Credit Risk Modelling, Stress Testing, Loss Forecasting ... the work of more junior model developers, and being able to ...
28 dni temu
... (Masters or PhD preferred) in Quantitative Finance or in a numerical subject ... the fields such as Credit Risk Modelling, Stress Testing, Loss Forecasting ... the work of more junior model developers, and being able to ...
28 dni temu
... Proven track record as an analyst. Experience gathering requirements and ... on process design (considering risk, end-to-end and ... solutions, considering aspects of risk/reward. Questions small-scale ... on the target operating model and designs activities to ...
23 dni temu
... graduate studies in Software Engineering, Quantitative Finance, or related disciplines (Mathematics ...
25 dni temu
... requirements Minimum 8 years of credit risk analysis experience, with a proven ... . Strong database and credit risk systems experience, including proficiency ... frameworks, ensuring robust data sourcing, model development, implementation, and execution ...
9 dni temu
... Our requirements Strong IT Business Analyst with Financial Services experience ... in IT Business/Data Analyst role in software delivery, ... , Market and/or Credit Risk. Obowiązki: Your responsibilities Be ... . Validate, analyse, data model and write the clear use ...
42 minuty temu
... in credit risk analysis. Good exposure to credit model methodologies data ... which involves data sourcing, model development, model implementation and support execution. ... internal Independent Model Review team during model development, model monitoring and ...
13 dni temu
... model and use defined standards and tools for processes such as risk ... Change Framework. Acts as a role model to create and maintain a collaborative ...
25 dni temu