Senior Risk Manager - Quality Control

Contract 4 months ago
Employment Information
Job Title: Senior Risk Manager
Location: New York, NY 10013 (Hybrid 3 days onsite)
Duration: 12 Months

Required
  • Consumer or Wealth Management Credit Risk Management
  • Consumer or Wealth Management Risk Analytics & Reporting
  • Capital Analysis and Stress Testing
  • Loss Forecasting, CCAR, CECL, and Basel/RWA
  • Experience in model development is prerequisite; experience in Market Risk modelling e.g. VaR and Monte Carlo Simulation and/or experience in Counterparty Credit Risk e.g. CVA, exposure profile modelling are strongly preferred
  • Very good programming skills in at least one programming language, Python most preferably
  • Familiarity with regulatory guidance around financial stress testing principles and methodologies (inc. TWD), are strongly preferred
  • Expert in topics related to Model Development Lifecycle and Model Risk Management;

Pay Range: $90 - $95

The specific compensation for this position will be determined by a number of factors, including the scope, complexity and location of the role as well as the cost of labor in the market; the skills, education, training, credentials and experience of the candidate; and other conditions of employment. Our full-time consultants have access to benefits including medical, dental, vision as well as 401K contributions.

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