Financial Institution Model Risk Manager

20 hours ago


London, Greater London, United Kingdom Selby Jennings Full time
Job Summary

We are looking for an experienced Financial Institution Model Risk Manager to join our team at Selby Jennings. The successful candidate will be responsible for managing model risk within a financial institution, ensuring that models are developed and implemented in accordance with regulatory requirements and industry best practice.

The key responsibilities of this role include:
  • - Initial and periodic validation of quant models
    - Designing, modelling and prototyping challenger models
    - Quantitative analysis and review of model frameworks, assumptions, data, and results
    - Testing models numerical implementations and reviewing documentations
    - Checking the adherence to governance requirements
    - Documentation of findings in validation reports, including raising recommendations for model improvements
    - Ensuring models are validated in line with regulatory requirements and industry best practice
    - Tracking remediation of validation recommendations

Salary Range: $140,000 - $220,000 per annum, depending on experience and qualifications.

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