Our organization is seeking a senior analyst/manager to oversee model risk management.
Main Responsibilities
* Evaluate financial models for counterparty credit risk and valuation adjustments to ensure accurate forecasting.
The ideal candidate will have expertise in quantitative analysis, particularly in assessing and mitigating risks associated with complex financial instruments. The position offers opportunities for collaboration across teams, flexible working arrangements, and the chance to develop skills in regulatory compliance.
Suitable candidates must possess strong analytical skills, excellent communication abilities, and experience working with large datasets.