Job Sr. Quantitative Finance Analyst-Consumer Risk Analytics

Sr. Quantitative Finance Analyst-Consumer Risk Analytics

Skills: 5-7+ years of experience working in developing quantitative models   Masters    |  Location:North Carolina  ,  United States Of America


Job description - $150,000-$180,000
We're looking for an experienced risk quantitative professional to join the Consumer Risk Analytics (CRA) team. CRA is responsible for developing complex models and performing analysis aimed at improving portfolio risk, profitability, performance forecasting and operational performance for consumer products.

Responsibilities to include, but not limited, to the following:

Design, estimation, and execution of consumer behavioral models.
Lead efforts in development of new models, analytic processes or system approaches.
Responsible for independently conducting quantitative analytics and complex modeling projects.

Create documentation for all activities and may work with technology staff in design of any system to run models developed. Incumbents possess strong quantitative/analytic skills and are able to influence strategic direction, as well as develop tactical plans. In addition to having strong quantitative skills, this candidate must also have strong communication skills as they will work closely with senior management and internal business units who use these models.

Application of analytical tools to assess risks to enterprise under stress, to design optimal strategies around pricing and originations, and to create integrated frameworks to assess interest revenues, non-interest revenues and credit losses in a consistent fashion.
Identify risks proactively and frame the range of potential outcomes for risks that are hard to model.

Integrate seamlessly in a global organization of analytical associates dedicated to best in class modeling and analysis in support of world class risk management capabilities and culture.

Required Skills:
Minimum of 5-7+ years of experience working in developing quantitative models
Deep knowledge of banking products and services on consumer businesses like Credit Card/Auto/Mortgage business
Model development experience in major financial institution
Ability to advise management on use of proper quantitative methods
Experiences with statistical/financial modeling techniques (Multi factor regression, Markov models, transition models, hazard models)
Exceptional academic background in a quantitative discipline and strong working experience

Desired Skills:
Masters or PhD in a quantitative field, PhD strongly preferred
Data Management Skills
Proficiency in statistical languages like SAS or Matlab
Process Development Experience
Proficiency in Microsoft office suite, PowerPoint, Excel
Strong Presentation skills
Strong communication / interpersonal skills; demonstrate initiative and be able to make quick decisions
Willingness to work under pressure to meet deadlines
Ability to multitask and properly prioritize multiple projects
Experiences with Hadoop, Hive for analysis on large unstructured datasets is a plus

More information about the job
Is Relocation Available?
Yes, local
Are you open to sponsorship?
This position is:
New Position
Is there a possibility to work remote?
Is there equity?
Are there flexible work hours?
Does this position have direct reports?

What are the 3-4 non-negotiable requirements on this position?
Candidate must be senior level to be considered...4-5+ years post graduate work experience; junior level candidates will not be considered
Position can be located in Charlotte or Atlanta and potentially Thousand Oaks, CA

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