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Model Risk Analyst Jobs

837 Job Offers

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Non-Traded Models IVU-VP
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India , Noida; Mumbai
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Barclays
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Regulatory Model Monitoring Execution Intmd Analyst
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India , Bengaluru
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Citi
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Risk Analytics Intmd Analyst
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India , Mumbai; Haryana
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Citi
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Risk Analytics Intmd Analyst
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India , Mumbai; Haryana
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Citi
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Risk Analytics Intmd Analyst
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India , Mumbai; Haryana
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Citi
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Balance Sheet Management Lead Analyst
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India , Mumbai
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Citi
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Balance Sheet Management Lead Analyst
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India , Mumbai
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Citi
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Senior Validation Analyst - Credit Derivatives
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Poland , Warsaw
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Citi
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Senior Quantitative Analyst
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Hungary , Budapest
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Citi
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Quantitative Lead Analyst
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India , Mumbai
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Citi
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Credit Portfolio Analyst II
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India , Mumbai; Pune
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Citi
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Leveraged Finance Underwriting – Snr Analyst
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India , Mumbai
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Citi
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Price Risk Data Controls Senior Business Analyst
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Hungary , Budapest
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Citi
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MRM Validation Analyst II
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India , Mumbai
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Citi
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Enterprise Risk Sr. Data Analyst
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India , Mumbai; Pune
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Citi
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Assistant Vice President, Model/Analysis/Valid Sr. Analyst
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Philippines , Taguig
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Citi
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Risk Policy Intmd Analyst
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India , Chennai
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Citi
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Client Data and Returns Attribution Analyst
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India , Mumbai
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Citi
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Business Risk and Controls Intermediate Analyst
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India , Mumbai
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Citi
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Validation Analyst
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Poland , Warsaw
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Citi
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Explore a world of opportunity with Model Risk Analyst jobs, a critical and intellectually stimulating career path at the intersection of finance, statistics, and technology. Professionals in this field are the guardians of a financial institution's analytical integrity, ensuring that the complex mathematical models used for decision-making are sound, reliable, and effectively managed. If you have a passion for quantitative analysis and a meticulous eye for detail, a career as a Model Risk Analyst offers a challenging and rewarding environment where you can directly impact an organization's stability and compliance. A Model Risk Analyst is primarily responsible for overseeing the entire model lifecycle. This typically begins with model validation, which involves conducting independent assessments of existing and newly developed models to challenge their underlying assumptions, conceptual soundness, and data integrity. They perform rigorous back-testing and benchmark models against alternatives to ensure they perform as intended under various economic conditions. Furthermore, these analysts are tasked with ongoing model performance monitoring, tracking key metrics to identify any model drift or degradation over time. They also play a key role in model risk governance, ensuring that all model use complies with internal policies and external regulatory standards, such as those from the Federal Reserve and OCC. Preparing comprehensive documentation and detailed reports that clearly explain complex model mechanics and validation results to both technical and non-technical stakeholders, including senior management and regulators, is a fundamental part of the job. To excel in Model Risk Analyst jobs, a specific set of skills and qualifications is generally required. A strong academic background is essential, typically including at least a bachelor's degree in a highly quantitative field such as Statistics, Mathematics, Physics, Engineering, Economics, or Quantitative Finance. A master's degree or PhD is often preferred for more senior positions. On the technical side, proficiency in programming and statistical software is non-negotiable. Common tools of the trade include Python, R, SAS, and SQL for data manipulation, statistical analysis, and model implementation. A solid understanding of advanced statistical techniques, including regression analysis, time-series forecasting, and machine learning algorithms, is crucial. Beyond technical prowess, successful analysts possess strong critical thinking and problem-solving abilities, allowing them to deconstruct complex models and identify potential weaknesses. Excellent written and verbal communication skills are equally important for translating technical findings into actionable business insights. The profession demands individuals who are naturally curious, analytically rigorous, and have a keen attention to detail. As financial models grow increasingly sophisticated, the demand for skilled professionals to manage model risk continues to rise. For those with the right blend of quantitative expertise and analytical skepticism, Model Risk Analyst jobs represent a prestigious and vital career, offering the chance to be at the forefront of risk management and contribute significantly to the financial health of an institution.

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