Search Results: 82,065 vacancies
...Job Title: Market Risk Analyst
Location: Mumbai
Type: Permanent
Job Summary : We are seeking a highly motivated and detail-oriented individual with experience in model development/validation of bonds and derivatives pricing models. In this role, you will be responsible...
...a unique opportunity for you to work in our team to partner with the Business to provide a comprehensive view.
As a Model Risk Governance - Quant Analytics Associate within our Risk Management and Compliance team, you will be at the heart of ensuring JPMorgan Chase remains...
...Description
Department Profile The cornerstone of Morgan Stanley's risk management philosophy is the execution of risk-adjusted returns... ...protects the firm from exposure to losses resulting from market volatilities and defaults by our lending and trading counterparties...
...Job Description
Job Summary:
As a Quant Analytics Associate - Marketing Analytics in our team, you will have the opportunity to solve complex business problems through deep quantitative and qualitative analysis. You will influence growth and marketing initiatives of...
...The Quantitative Risk Management Analyst participates in developing and implementing global... ...classes in general
General financial market knowledge - knowledge of equity markets, bond... ...Computer Science/ Physics / Engineering, Quant Finance or related field
Required...
...Job Title: Market Risk Analyst
Location: Mumbai
About Barclays
Barclays is a British universal bank. We are diversified by business, by different types of customers and clients, and by geography. Our businesses include consumer banking and payments operations around...
...understanding. Understanding the financial markets, statistics, algorithmic trading, trading... ...topics, revamp existing content, backtest quant trading strategies such as momentum, mean-... ...practices for strategy development, including risk management and parameter optimization....
...Responsibilities:
Validate models in accordance with client’s model risk management policy to assess model usage, documentation,... ...theory, and machine learning.
strong understanding of capital markets and various asset classes: equities, fixed income, FX, and commodities...
...network of firms, and are conversant with local laws, regulations, markets and competition. KPMG has offices across India in Ahmedabad,... ...Responsibilities
Model Validation, Model Development (Market Risk):
Proven experience in market risk, risk modeling or model validation...
...description: Ensuring all activities remain within mandated exposure and risk limits.
Perform risk and P&L analysis on a daily/BAU basis.... ...Deal rationale processes.
Improve and construct in-depth market commentary explaining the nuances of the previous day’s...
...Job Description
Model Risk Governance & Review (MRGR) is responsible for conducting model validation to help identify, measure, and... ...diverse range of areas from finance and risk to human resources and marketing. Our corporate teams are an essential part of our company,...
...Job Description
Quant Modeling team plays a critical role, engaging with major stakeholders... ...and statistical models to identify risk activities across JPMC’s highly diverse employee... ...finance and risk to human resources and marketing. Our corporate teams are an essential part...
...Job Title: Market Risk Macro AVP
Location: Mumbai
About Barclays
Barclays is a British universal bank. We are diversified by business, by different types of customers and clients, and by geography. Our businesses include consumer banking and payments operations around...
...the US, and Canada. Our global network also extends to emerging markets such as Colombia, the Middle East, and the rest of Asia-Pacific... ...Gurgaon/ Bangalore
Nature of Job: Permanent
Department: Risk and Quant Solution
About Risk and Quant Solutions (RQS)
Risk and Quant...
...network of firms, and are conversant with local laws, regulations, markets and competition. KPMG has offices across India in Ahmedabad,... ...and our experience of the Indian business environment.
Market Risk, Model Validation, FRTB
Equal employment opportunity information...
...-derivative securities. Our broad and deep client relationships, market-leading platform and intellectual insights enable us to be a world... ...from those associated with sales, trading, analytics, strats to risk management. Background on the Team The Institutional Equities Divisions...
...integrated global network spanning over 30 countries. By connecting markets East & West, Nomura services the needs of individuals,... ...research, information technology, financial control, operations, risk management and legal support have played a key role in facilitating...
...statement, answer the questions: Why does this position exist and What is it expected to accomplish)
Responsible for risk control, reporting and monitoring of Market & Liquidity risk of the bank.
Key Accountabilities (List the expected end results or KPIs that the job holder...
...Rating” for our global locations.
Job Description
As a Quant Analytics Associate in the Data and Analytics team, you will... ...experience
Functional industry experience in operations, marketing, credit/risk, technology or finance
Intermediate knowledge of Machine Learning...
...Key Responsibilities: -
Validate models in accordance with client’s model risk management policy to assess model usage, documentation, conceptual soundness, data integrity and the control environment.
Communicate results via formal model validation reports, as well as...