Oversee the assessment of risk models as the Manager of Risk Model Assessment. Ensure model validity, guide investigations, and satisfy regulatory compliance in a supporting role.In this critical position, you will validate the soundness of risk models used across various financial sectors. Management of senior analysts and thorough reviews of their work will be essential, as you collaborate with diverse teams to ensure qualitative and quantitative standards are met. Your expertise will directly impact regulatory reporting and presentations.Key Responsibilities:• Direct validation of market and credit risk models• Oversee analysts to maintain validation standards• Review reports to ensure accuracy and compliance• Collaborate with other groups for model requirements• Prepare materials for regulatory submissionsRequirements:• Master’s degree in Finance, Economics, or related fields• 5+ years of industry experience with team oversight• Extensive knowledge of quantitative risk methodologies• Proficient in data analysis software including Python• Excellent report writing and communication skillsContribute to financial stability by leading a team focused on model validation and ensuring compliance with evolving industry standards.#J-18808-Ljbffr
Manager Of Risk Model Assessment
TMX GROUP
toronto, toronto
Published 27 days ago
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