Manager – Model Risk Management - Financial Institutions
By Elliott Davis At United States
3+ years of recent experience in Model Risk Management or financial analysis.
Bachelor’s degree in a business or mathematics-related field or equivalent combination of relevant education and experience.
Experience with CECL, ALM, IRR, or Liquidity Risk.
Strong oral and written interpersonal skills.
Experience in developing and leading a team of professionals.
First-class health and wellness benefits, including wellness coaching and TalkSpace one-on-one professional
Risk Process Validation Group - Associate (Model Risk Management)
By Morgan Stanley At , New York, 10036
Risk Process Validation Group - Associate (Model Risk Management)
POSTING DATE: Aug 8, 2023
PRIMARY LOCATION: Americas-United States of America-New York-New York
Morgan Stanley is an equal opportunity employer committed to diversifying its workforce (M/F/Disability/Vet).#LI-JB3
Manager, Risk Jobs
By STERIS At , Mentor, 44060
Bachelor’s Degree in Business Management, Finance, Accounting or related field.
8+ years of progressive experience in a Risk Management, Commercial Insurance or Property/Casualty Insurance Broker role
1+ years of leadership or team management experience
5+ years of global property knowledge including loss control initiatives, multinational program structures, cyber liability
3+ years experience with claims administration
3+ years working knowledge of domestic liability, executive liability insurance and surety
Risk Manager Jobs
By Wilson Medical Center At , Wilson, 27893
Program Development, Implementation and Management:
6. Maintains awareness of legislative and regulatory activities related to healthcare risk management.
Health (Medical, Dental, Vision) and 401K Benefits for full-time employees
Opportunities for education and training through a partnership with Duke LifePoint Healthcare
Competitive Paid Time Off / Extended Illness Bank package for full-time employees
Employee Assistance Program – mental, physical, and financial wellness assistance
Model Validation Risk Analyst Iii
By Trustmark National Bank At , Jackson, 39201
Assist in the development, implementation, communication, and management of model governance, policies, and procedures
Assist the Manager of MRM with other risk management projects and regulatory monitoring activities as needed
Four-year degree in a quantitative field such as Statistics, Economics, Finance, MIS, Engineering, or a related discipline
Two (2) years of relevant work experience in model validation, model development, and/or quantitative analysis
Two (2) years of experience with statistical software packages such as SAS, Python, or R
Advanced knowledge of financial modeling techniques and theories
Model Risk Management & Validation Associate
By CME Management At , Chicago
Developing knowledge of CME Clearing’s risk models and best practices in model risk management
Supporting the drafting of model risk management policies and procedures and refining and maintaining the model inventory
This role performs a second line function that works closely with the model developers and users in the first line function.
This includes responding to inquiries from third-party validators and reviewing findings identified by third-party validators for severity and accuracy.
Work with colleagues on the drafting model validation responses, including any remediation plans.
Working with third-party validators to respond to their inquiries and by reviewing identified findings for severity and accuracy
Compliance Analyst-Model Risk Governance
By The Federal Home Loan Bank of Chicago At , Chicago, 60607
Bachelor's degree in finance, economics, risk management, or a related field. Relevant professional certifications (e.g., FRM, CFA) are a plus.
0-3 years’ work experience in risk management, regulatory compliance, or related fields, with a focus on model risk governance and compliance.
Assist in implementation of a comprehensive model risk governance framework, including model inventory, issue management, model attestation, vendor surveys, annual review;
Responsible for model validation issues management and follow up.
Solid understanding of risk management concepts and financial regulatory environment.
Assist in periodical GRC model surveys (especially performance monitoring processes) and vendor surveys, GRC platform experience preferred (e.g. RiskConnect).
Risk Manager Jobs
By Parsons At , San Diego $113,100 - $203,600 a year
Recent experience/technical competence in similar scopes of work for risk identification, analysis and management for projects and programs similar scope
What Required Education/Experience You'll Bring:
Hold a PE or RA certification and/or CCM cert.
A Bachelor’s degree in any field is required
A technical and/or business degree.
U.S. Citizenship required for this role
Manager, Model Risk Management & Validation
By CME Group At , Chicago
Drafting and reviewing model risk management policies and procedures and refining model inventory
Drafting model validation responses and presenting them to senior management and relevant committees for review
Advising, mentoring and coaching colleagues on best practices in model risk management leveraging deep subject matter expertise on model risk management.
Working with third-party validators to determine validation scope and reviewing identified findings for severity and accuracy
Master’s degree or equivalent in quantitative field, such as financial math or financial engineering. PhD preferred.
This role requires to work 5 days on site.
Risk Manager Jobs
By Chumash Enterprises At , Santa Ynez $97,181 - $121,476 a year
Five years of experience in risk management, insurance, occupational safety, law, workers’ compensation, human resources, or a combination of the above.
In collaboration with the Director of Risk Management, establishes procedures for delivery of claim information (i.e., reports, investigation, metrics, and analysis).
Collaborates with Risk Management Team to provide support in all areas of claims administration and safety as needed.
Manages the design, implementation, and rollout of safety programs and related training.
Experience with reading, analyzing and interpreting legal and technical documents and financial reports.
Knowledge of current and legally binding contractual language and terminology.
Risk Manager Jobs
By City of Northglenn, CO At , Northglenn, 80233 $77,812 - $108,937 a year
Benefits Vary Depending on the Status of the Position
Details of the City of Northglenn's benefits program can be viewed
FOR MORE INFORMATION AND TO APPLY, PLEASE GO TO:
Employee works in a position that is classified as 40 hours per week.
Employee works in a position that is classified as 30+ hours per week.
Employee works is a position that is classified as less than 20 hours per week.
Risk Manager Grade 25 Jobs
By Fulton County, GA At , , Ga $73,131 - $109,696 a year

Specific Knowledge, Skills, or Abilities

Risk Manager Jobs
By Legal & General America At , Chicago, Il
Comprehensive knowledge of the international asset management industry including investor types, distributional channels, the competitor landscape.
Experience of proactively engaging with senior management, demonstrating an inquiring mind and the courage to follow through to sound conclusion.
Provision of Effective Management Information Reporting
Lead on capital adequacy operational risk assessments and input into the requirements of U.S. and non-U.S. capital requirements.
Provide insightful analysis and interpretation of risks to better help partner and support the business.
Ability to challenge based upon fact and informed opinion, and in a way which opens up constructive debate.
Quantitative Model Risk Officer (Remote - Ca, Or, Wa, Id)
By Banner Bank At Washington, United States
Advanced statistical modeling and data management skills along with broad knowledge of quantitative finance and econometrics.
Prepare and provide reports and presentations relative to model risk management to leadership as requested.
Responsible for recommending and reviewing policies, guidelines, and procedures with respect to model risk management.
Master's Degree in Business, Accounting, Finance or other related field required
Design and implement customized model test plans to facilitate future validation efforts, including the creation of reusable code and spreadsheets.
Responsible for ensuring adequate documentation is maintained in all phases of work; routinely track and report on initiatives, actions and results.
Model Risk - Dallas
By Goldman Sachs At Dallas, TX, United States
Communicate the results of model validation activities, model limitations and uncertainties to the key stakeholders and management
Additional skills/experiences that we value:
Algorithmic/quantitative/systematic trading strategies, hedge funds, credit risk management
Excellent analytical, quantitative, interpersonal, and organizational skills. Team oriented.
Perform independent validation and approval of models, including raising and managing model validation findings
Conduct annual review and revalidation of existing Models
Risk Manager Jobs
By Manpower San Diego At San Marcos, CA, United States
4-6 years’ experience in Workers’ Compensation Claims Management
·Superior influencing and negotiation skills
·Excellent communication, presentation, follow-up and interpersonal skill
·Advanced professional level business writing, grammar and oral communications skills
·Must be well organized in order to manage time, solve problems, grasp concepts and processes,
Bachelor’s degree in related field or equivalent years of professional experience
Risk Manager Jobs
By GAT Airline Ground Support At United States
• Proficient in PC based applications; Microsoft Outlook, Word, and Excel Safety management system experience preferred
• Above average organizational, time management and prioritizing skills
o Work co-operatively between key management personnel and co-workers to achieve company goals and maintain operations
• Manages and oversees Workers' Compensation claims processing and procedures • Plans and leads claim reviews
• 3+ years Work Comp claims experience
• Exceptional communication skills with individuals at all levels of the organization, both oral and written
Risk Manager || Remote Jobs
By Steneral Consulting At United States

Required Experience (Years): 10 years, Substitution: 8 years of additional relevant experience may be substituted for education

Required Education Level: Bachelors in Engineering, Computer Science, Systems, Business or related scientific /technical discipline

Product Manager | Risk Intelligence
By Ramp At New York, United States
Help thousands of companies on Ramp more successfully manage their finances by expanding the capabilities of our product
5 years of product management experience
3 years of product management experience and 1+ year of experience as an engineer or data (applied) scientist
Risk Intelligence owns our risk management & underwriting algorithms (e.g. application approvals, dynamic limit-setting)
Leverage data and customer feedback to constantly iterate and evolve product offerings
Experience building technical products from ideation to launch
Corporate Risk Manager Jobs
By Vanguard Renewables At Weston, MA, United States
Knowledge of finance, tax, and accounting as it applies to risk management and insurance programs.
Works independently using project management skills.
Oversee the claims management program and review and approve public liability and workers compensation claims settlements.
Develop and supervise the preparation of detailed financial report (monthly/quarterly) that are utilized by senior management.
If applicable, manage state and federal filings, if needed, as respects benefits program and workers compensation program.
Manage Certificate of Insurance requirements.

Are you looking for a challenging and rewarding role in Model Risk Management? We are looking for a motivated and experienced professional to join our team as a Model Risk Manager. You will be responsible for developing and implementing model risk management policies and procedures, monitoring model performance, and ensuring compliance with regulatory requirements. If you have a passion for risk management and a desire to make a difference, this is the job for you!

Overview:

Model Risk Managers are responsible for overseeing the development, implementation, and maintenance of models used in financial services. They are responsible for ensuring that models are accurate, reliable, and compliant with applicable regulations. Model Risk Managers must have a deep understanding of the financial services industry and the models used in it.

Detailed Job Description:

Model Risk Managers are responsible for overseeing the development, implementation, and maintenance of models used in financial services. They must ensure that models are accurate, reliable, and compliant with applicable regulations. Model Risk Managers must have a deep understanding of the financial services industry and the models used in it. They must be able to identify potential risks associated with models and develop strategies to mitigate those risks. Model Risk Managers must also be able to communicate effectively with stakeholders and ensure that models are being used appropriately.

What is Model Risk Manager Job Skills Required?

• Knowledge of financial services industry and models used in it
• Ability to identify potential risks associated with models
• Ability to develop strategies to mitigate risks
• Ability to communicate effectively with stakeholders
• Ability to ensure models are being used appropriately
• Knowledge of applicable regulations
• Analytical and problem-solving skills
• Attention to detail

What is Model Risk Manager Job Qualifications?

• Bachelor’s degree in finance, economics, mathematics, or a related field
• Master’s degree in finance, economics, mathematics, or a related field preferred
• Relevant certifications such as FRM, CFA, or PRM preferred
• 5+ years of experience in financial services
• Experience in model development and risk management

What is Model Risk Manager Job Knowledge?

• Knowledge of financial services industry and models used in it
• Knowledge of applicable regulations
• Knowledge of risk management principles

What is Model Risk Manager Job Experience?

• 5+ years of experience in financial services
• Experience in model development and risk management

What is Model Risk Manager Job Responsibilities?

• Oversee the development, implementation, and maintenance of models used in financial services
• Ensure models are accurate, reliable, and compliant with applicable regulations
• Identify potential risks associated with models and develop strategies to mitigate those risks
• Communicate effectively with stakeholders and ensure models are being used appropriately
• Monitor models for accuracy and compliance with regulations