Job Summary
A company is looking for a Model Risk Management Analyst responsible for executing and supporting model risk management activities.
Key Responsibilities
- Conduct thorough validations of financial models to ensure accuracy and compliance
- Identify, assess, and quantify risks associated with financial models, preparing reports and mitigation strategies
- Prepare comprehensive documentation for model validations, risk assessments, and regulatory submissions
Required Qualifications
- Bachelor's Degree and 4 years of experience in Operational Risk or Risk Management in Financial Services, or a High School Diploma/GED with 8 years of relevant experience
- Preferred education includes an advanced degree in a quantitative discipline such as math, statistics, or finance
- Preferred areas of study include Economics, Mathematics, Finance, Statistics, or Risk Management
- Preferred experience in development and/or model validation
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