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Senior Quantitative Finance Analyst
2 months ago
Bank of America is seeking a highly skilled Quantitative Finance Expert to join our Global Risk Analytics team. As a key member of our team, you will be responsible for conducting quantitative analytics and modeling projects for specific business units or risk types.
Key Responsibilities- Market Risk Stress Testing: Perform end-to-end market risk stress testing, including scenario design, implementation, results consolidation, internal and external reporting, and assessing stress scenario results to better understand key drivers.
- Quantitative Work Prioritization: Support the planning related to setting quantitative work priorities in line with the bank's overall strategy and prioritization.
- Model Development and Validation: Identify continuous improvements through reviews of approval conclusions on relevant model development or model validation tasks, critical feedback on technical documentation, and effective challenges on model development/validation.
- Model Oversight: Maintain and provide oversight of model development in respective focus areas to support business requirements and the enterprise's risk capacity.
- Methodological and Technical Guidance: Provide methodological and technical guidance to effectively question and influence the strategic direction and tactical approaches of development/validation projects and identify areas of potential risk.
- Communication and Collaboration: Work closely with model stakeholders and senior management with regard to communication of submission and validation outcomes.
- Statistical Evaluations: Perform statistical evaluations on large datasets and interpret results using both qualitative and quantitative approaches.
- Education: A degree (Masters required and PhD level desirable) in Statistics, Financial Mathematics, Applied Mathematics, Economics, Physics, or Engineering.
- Technical Skills: Statistics, Probability Theory, Econometrics, Financial Mathematics, proficient programming skills (SQL, Python, VBA, Latex).
- Experience: Experience in the areas of Credit risk modeling, Climate modeling, Capital modeling, loss forecasting preferred.
- Regulatory Knowledge: Knowledge of regulatory guidelines including CCAR, CECL, DFAST, ICAAP.
- Collaboration and Communication: Ability to engage with stakeholders, with an ability to work with colleagues in other functions (business, risk, and model validation).
- Private Healthcare: Private healthcare for you and your family plus an annual health screen to help you manage your physical wellness with the option to purchase a screen for your partner.
- Pension Plan: Competitive pension plan, life assurance, and group income protection cover if you become unable to work as a result of a disability or health reasons.
- Childcare and Adult Care: 20 days of back-up childcare including access to school holiday clubs and 20 days of back-up adult care per annum.
- Flexible Benefits: The ability to change your core benefits as well as the option of selecting a variety of flexible benefits to suit your personal circumstances.
- Wellbeing Support: Access to an emotional wellbeing helpline, mental health first aiders, and virtual GP services.
- Employee Assistance Program: Access to an Employee Assistance Program for confidential support and help for everyday matters.
- Charitable Giving: Ability to donate to charities of your choice directly through payroll and the bank will match your contribution.
- Arts and Culture Membership: Opportunity to access our Arts & Culture corporate membership program and receive discounted entry to some of the UK's most iconic cultural institutions and exhibitions.
- Volunteering: Opportunity to give back to your community, develop new skills, and work with new groups of people by volunteering in your local community.