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Job details

Risk Analytics Manager

Job Summary

A company is looking for a Manager, Risk Analytics/Modeling.

Key Responsibilities:
  • Utilize statistical and analytical tools to evaluate model risk and manage financial risk
  • Perform model validations and assess model assumptions, limitations, accuracy, and performance
  • Present findings through formal reports and verbal presentations to stakeholders
Required Qualifications:
  • Master's degree in Statistics, Mathematics, Financial Engineering, Management Information Systems, or related field
  • Experience with SAS, R, MATLAB, or Python through coursework or internships
  • Knowledge of machine learning and artificial intelligence applications in finance
  • Familiarity with Monte Carlo simulations and portfolio construction methods
  • Experience in model validation techniques and statistical analysis

Average salary estimate

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EMPLOYMENT TYPE
Full-time, remote
DATE POSTED
May 30, 2025

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