and model risk governance. MRGR has a global presence across New York, London, Mumbai, and Paris. As a Quant Model Risk Vice...Job Description: Model Risk Governance and Review Group (MRGR) carries out the review of models used across the firm...
JPMorgan Chaseis all about thinking outside the box, challenging the status quo and striving to be best-in-class. Model Risk Governance and Review (MRGR... for conducting independent model review and model governance activities to help identify, measure, and mitigate Model Risk in the...
JPMorgan Chaseis all about thinking outside the box, challenging the status quo and striving to be best-in-class. Model Risk Governance and Review (MRGR... for conducting independent model review and model governance activities to help identify, measure, and mitigate Model Risk in the...
JPMorgan ChaseQuant Risk Manager Hybrid 3 days per week Quant Capital is urgently looking for a Quant Risk Manager to join our high... and models to clearing members, regulators, risk com-mittees and other governance bodies Quant Risk Manager...
Quant Capital. For more information visit We are seeking a highly skilled and experienced Senior Market Risk Manager to lead a team responsible... for overseeing the market risk of the Solutions business in Marex. The Solutions business covers a number of asset classes including...
Marex. For more information visit We are seeking a highly skilled and experienced Senior Market Risk Manager to lead a team responsible... for overseeing the market risk of the Solutions business in Marex. The Solutions business covers a number of asset classes including...
Marexof Exotic Derivatives and Hybrids and building Front Office tools & applications and developing the quant model library in C... cap/floors, Baskets, Equity, C++, C# This global investment bank, seeks to hire a VP Quant Analyst to join a small Front...
Millar Associatesand explain models to the risk for mark to market and support the model risk team in their validation process. Implement models...-currency pairs, Barriers, & Cross Asset, LSV, C++ The global Quant Research group at this top-tier Investment Bank works...
Millar Associatesconstruction, back-testing and risk assessment of portfolios. Key Responsibilities As a Quantitative Analyst, you will build..., enhance and maintain a scalable, systematic investment process to run strategic and tactical asset allocation model portfolios...
Evelyn Partnerswith technology, front office quant and risk methodology experience. Your immediate focus will be on methodology development...Job Description: Job Title Quant Strategist Location London Corporate Title Vice President Group Strategic...
Deutsche Bankmanagement, funding and liquidity, pricing, model advisory), supporting functions (Risk, Treasury, Finance, WCDAO, Technology...Our client is a Global Banking Leader in London who are looking for an experienced Quant Strategist to join a high...
Barclay Simpsonsupport to the business ESSENTIAL SKILLS & EXPERIENCE: Minimum of 3 years, in a Front Office Pricing Quant or a Model... markets and a good reputation for state of the art technology, now seeks to hire an experienced Quant Analyst to cover Equity...
Millar AssociatesA leading Quant Hedge fund hedge fund in London is looking to add a Quant researcher to their team to research... systematic global macro models Developing trading strategies, from idea generation and data collection to analysis and model...
Octavius Financewith us to discuss in more detail. Purpose The Responsible Investment Manager (Quant) is responsible for developing and enhancing... into investment decision-making processes, asset allocation, and risk management frameworks. Quantitative modelling and analysis...
JustWorking Model: Hybrid, travel at least twice a week in the office can be required Duration: up to end of 2024... design and implementation of pricing, risk and P&L infrastructure surrounding the core pricing library Assist the...
Experis: Integrate and enhance interest rates, credit, pricing, and risk models. Collaborate proactively with stakeholders... across various business functions (Risk, Finance, Trading, etc.) to develop required pricing/structuring models. Design, develop...
Barclay Simpsonworking environment, regularly interacting with the dealing, operations, risk and IT development teams. This is an excellent.... Key responsibilities: Review and offer critical thinking around the existing model suite. Proposing modifications...
CMC Markets