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Senior Analyst - Risk & Resilience

$125k - $130k

McKinsey & Company

Consulting Senior Analyst - Risk & Resilience

Job ID: 104398

  • Boston
  • New York City
Apply NowApply Later Do you want to do work that matters, alongside supportive leaders who will help you grow faster than you ever thought possible? Are you a creative problem-solver who is energized by challenges? You've come to the right place. YOUR IMPACT You will work to construct statistical models and complete targeted quantitative analyses across different techniques (e.g., regressions, machine learning, simulations) that allow companies to make better analytically based decisions across the spectrum of risk management. Your responsibilities will include developing and validating models including credit (e.g., underwriting, portfolio management), stress testing, cash-flow modeling, and hedging. You'll work on client projects as an integral part of engagement teams, and you will contribute to internal knowledge development initiatives. You'll disaggregate and structure complex, often ambiguous, business problems and evaluate different analytical approaches to develop potential solutions. You will apply advanced analytical and quantitative tools, statistical modeling techniques and data mining procedures to derive business insights and solve complex business problems. Further, you will develop components of statistical models, writing and developing scripts (e.g., SAS scripts) to improve risk management decision making (e.g., underwriting models). You will contribute to team problem solving through the findings and insights from your analysis and help facilitate data integration and management between clients and McKinsey. Ultimately, you will contribute to the development of knowledge for the analytics group at large. You'll work at client offices, our Boston or New York City office focusing on risk analytics as a member of our data analytics team, part of McKinsey's global Risk & Resilience practice. Our global Risk & Resilience practice helps clients understand, prepare for, and manage risks to ensure institutional resilience in an ever-changing world. Our team is a global leader in risk analytics and model governance, working with banks, asset managers, insurance firms, and other leading infrastructure players around the world. We help our clients create sustainable modelling and analytics platforms to support their businesses in a data-driven world. From core regulatory capital and risk models to business decision analytics and model risk management, we create value by improving performance across the model lifecycle. Our model development, model validation and model risk advisory work spans multiple risk functions, markets, operating challenges and modeling techniques. When delivering a project, we strive to advance our client's understanding of both well-established and emerging risk management techniques. Our experienced team incorporates risk specialists, quantitative experts and business professionals empowering us to offer our clients a unique variety of skills in risk management, business, and regulatory compliance. While we tailor every service to suit each client's needs, our identity is unwavering with bedrock values including excellence, teamwork, integrity and innovation. Our work requires rigorous understanding of underlying modeling techniques as well as of the business context in which those models are being used. You will establish connections between sophisticated modeling techniques and strategic decision-making processes. YOUR GROWTH Driving lasting impact and building long-term capabilities with our clients is not easy work. You are the kind of person who thrives in a high performance/high reward culture - doing hard things, picking yourself up when you stumble, and having the resilience to try another way forward. In return for your drive, determination, and curiosity, we'll provide the resources, mentorship, and opportunities you need to become a stronger leader faster than you ever thought possible. Your colleagues-at all levels-will invest deeply in your development, just as much as they invest in delivering exceptional results for clients. Every day, you'll receive apprenticeship, coaching, and exposure that will accelerate your growth in ways you won't find anywhere else. When you join us, you will have:
  • Continuous learning: Our learning and apprenticeship culture, backed by structured programs, is all about helping you grow while creating an environment where feedback is clear, actionable, and focused on your development. The real magic happens when you take the input from others to heart and embrace the fast-paced learning experience, owning your journey.
  • A voice that matters: From day one, we value your ideas and contributions. You'll make a tangible impact by offering innovative ideas and practical solutions, all while upholding our unwavering commitment to ethics and integrity. We not only encourage diverse perspectives, but they are critical in driving us toward the best possible outcomes.
  • Global community: With colleagues across 65+ countries and over 100 different nationalities, our firm's diversity fuels creativity and helps us come up with the best solutions for our clients. Plus, you'll have the opportunity to learn from exceptional colleagues with diverse backgrounds and experiences.
  • World-class benefits: On top of a competitive salary (based on your location, experience, and skills), we provide a comprehensive benefits package to enable holistic well-being for you and your family.
YOUR QUALIFICATIONS AND SKILLS
  • Master's degree in quantitative fields such as mathematics, statistics, analytics, computational finance, computer science, economics, financial engineering, physics, or another relevant field
  • 2+ years of hands-on experience in quantitative modeling using advanced analytics tools (e.g. Python, R) to solve real world problems
  • Demonstrated understanding of financial mathematics including stochastic calculus and probability theory, as well as derivative pricing models and other numerical techniques across a variety of asset classes (e.g., equities, rates, credit, FX and commodities) with practical experience in using MATLAB/C++/R/VBA
  • Experience programming (beyond simple scripts) in a modern scientific language (e.g., Python, Matlab, R) and experience with TensorFlow, Spark, Java, C#, C++, or C; knowledge of SQL and SAS is a plus
  • Knowledge of VaR (historic, parametric, MonteCarlo), EOD or intra-day risk & valuation, as well as stress-testing and scenario analysis is a plus
  • Critical thinkers who can develop an opinion and support it with persuasive arguments based on available evidence
  • Ability to execute an analytics process from problem specification through to solution in your area of expertise
  • Ability to work collaboratively in a team environment and effectively with people at all levels in an organization; can build constructive relationships both with colleagues and clients
  • Adaptable to rapidly changing timelines and objectives; able to work under pressure with tight deadlines while maintaining quality of outputs
  • Exceptional verbal and written communication skills, especially around translating technical knowledge into accessible forms for non-technical project teams, leadership, and clients
  • Willingness to travel
Please review the additional requirements regarding essential job functions of McKinsey colleagues.
Our
unwavering commitment to integrity drives everything we do, guiding us to always act in the best interests of our clients, our people, and the communities we serve. Industries
  • Financial Services
Capabilities
  • Risk & Resilience
Apply NowApply Later

FOR U.S. APPLICANTS: McKinsey & Company is an Equal Opportunity/Affirmative Action employer. All qualified applicants will receive consideration for employment without regard to sex, gender identity, sexual orientation, race, color, religion, national origin, disability, protected Veteran status, age, or any other characteristic protected by applicable law.


Certain US jurisdictions require McKinsey & Company to include a reasonable estimate of the salary for this role.
To help you understand what you can expect, the salary range for new joiners in this role in United States, including all office locations where the job may be performed, is $125,000 - $130,000 USD gross per year. This reflects our best estimate of the lowest to highest
[salary/hourly wages] for this role at the time of this posting, ensuring you have a clear picture right from the start, though it's important
to remember that actual salaries may vary. Factors like your office location, your unique blend of experience and skills, start date and our current
organizational needs all play a part in determining the final figure. Certain roles are also eligible for bonuses, subject to McKinsey's discretion
and based on factors such as individual and/or organizational performance.


Additionally, we provide a comprehensive benefits package that reflects our commitment to the wellness of our colleagues and their families.
This includes medical, mental health, dental and vision coverage, telemedicine services, life, accident and disability insurance, parental leave and family planning benefits, caregiving resources, a generous retirement contributions program, financial guidance,
and paid time off.

FOR NON-U.S. APPLICANTS: McKinsey & Company is an Equal Opportunity employer. For additional details regarding our global EEO policy and diversity initiatives, please visit our McKinsey Careers and Diversity & Inclusion sites.

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