Manager, Risk Analytics/Modeling
The Charles Schwab Corporation
Your OpportunityAt Schwab, you’re empowered to make an impact on your career. Here, innovative thought meets creative problem solving, helping us challenge the status quo and transform the finance industry together. We believe in the importance of in-office collaboration and fully intend for the selected candidate for this role to work on site in the specified location(s).The Asset Liability Management and Market Risk Modeling team within Corporate Treasury develops and maintains models that inform financial forecasting, market risk measurement, capital stress testing, and balance sheet strategy. As a Manager, ALM & Market Risk Modeling, you will serve as an individual contributor supporting fixed-income and mortgage modeling capabilities used to evaluate investment securities, loans, structured products, spreads, accumulated other comprehensive income, capital, and net interest income.In this role, you will execute, monitor, test, and enhance AD&Co models and related analytics for agency and non-agency mortgage products, prepayment behavior, credit performance, asset-backed securities, option-adjusted spreads, fair value, income, and capital stress scenarios. You will apply analytical thinking and sound decision-making to assess model performance, investigate changes in results, conduct backtesting and benchmarking, and strengthen documentation, controls, and issue remediation.Your work will help Schwab produce controlled, reliable, and insightful modeling outputs that support business-as-usual forecasting, market risk management, capital planning, and investment portfolio decisions. You will collaborate across Treasury, Finance, Investments, Risk, Capital Planning, and Model Risk Oversight, adapting your approach as priorities and market conditions evolve while clearly communicating model results, key drivers, production status, and emerging risks.What you haveRequired qualificationsBachelor’s degree in Applied Mathematics, Engineering, Finance, Economics, Statistics, Computer Science, or a related quantitative discipline3+ years of relevant professional experience, or an equivalent combination of professional experience and graduate study, in banking, balance sheet management, asset liability management, market risk, or capital stress testingExperience using in-house or third-party prepayment models, including AD&Co or a comparable platform, to support balance sheet management, financial forecasting, or stress testingKnowledge of fixed-income modeling concepts, including duration, optionality, option-adjusted spreads, accumulated other comprehensive income, sensitivity analysis, and scenario-based risk analysisKnowledge of mortgage prepayment behavior, including refinance incentives, burnout, turnover, seasonality, and borrower credit characteristicsExperience supporting model development and evaluation through feature selection, backtesting, performance monitoring, benchmarking, and model tuningExperience using Python, SQL, Microsoft Excel, or comparable analytical tools for data analysis, model monitoring, workflow automation, and controlled evidence retentionAbility to apply analytical thinking, problem solving, and attention to detail when evaluating model results, identifying risks, and escalating issues in a controlled environmentPreferred qualificationsAdvanced degree in a quantitative or technical disciplineCFA, FRM, PRM, or a comparable professional designationExperience with capital stress testing, including Comprehensive Capital Analysis and Review or company-run stress testing processesExperience developing or supporting models for asset-backed securities, mortgage products, structured finance, spreads, option-adjusted spreads, fair value, income, or accumulated other comprehensive incomeExperience establishing and executing model controls, including input reviews, output reasonableness checks, sensitivity analysis, documentation, and evidence retentionExperience supporting model validation, regulatory or internal audits, issue remediation, and audit readinessAbility to interpret complex analytical results, identify meaningful drivers of change, and communicate conclusions clearly to technical and nontechnical stakeholdersDemonstrated adaptability when managing multiple priorities, responding to changing assumptions, and solving problems with incomplete or evolving informationAbility to build collaborative relationships across Treasury, Finance, Investments, Risk, Capital Planning, and Model Risk OversightIn addition to the salary range, this role is eligible for bonus or incentive opportunities.Job SummaryRequisition ID: 2026-125100Posted Date: 2 weeks ago(8/13/2026 10:26 AM)Category: Risk & RegulatorySalary Range: USD $100,000.00 - $140,000.00 / YearApplication deadline: 8/29/2026Position Type: Full time
- ...in the specified location(s).Schwab’s Asset Liability Management and Market Risk Modeling team develops and maintains models that inform financial... ...modeling standards, mentor colleagues, and translate complex analytical and accounting concepts into insights that support...SuggestedFull timeWork at office
- Charles Schwab is seeking a Manager, ALM & Market Risk Modeling to support fixed‑income and mortgage modeling for financial forecasting, risk measurement, and capital planning. You will execute and enhance AD&Co models, conduct backtesting, and collaborate across Treasury...Suggested
$60 - $70 per hour
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...implementing strategies in retirement, risk management, tax, estate, and investment planning.... ...to work a hybrid schedule. Our hybrid model is defined as 3 days in office work required... ...financial planning concepts Excellent analytical skills and attention to detail Clean U4...Work at officeLocal areaRemote work2 days per week$135.6k - $225.9k
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- Charles Schwab is seeking a Data Risk Enhancement professional to shape how data lineage informs risk-based decisions. You will work across business and technology teams to identify critical data flows, assess end-to-end risk exposure, and translate insights into prioritization...
- Ferguson is seeking a skilled Credit Manager to oversee credit, collections, and accounts receivable operations in Texas, supporting a multi-state territory in the Mid-South US. The role requires strong financial judgment, regular overnight travel, and collaboration with...Night shift
- Dave & Buster's Inc. is seeking a Treasury Analyst to strengthen corporate finance operations with analytical rigor and cross-functional collaboration. You will manage daily cash across banks, build cash flow forecasts, and support liquidity decisions in partnership with...
$32 - $34.98 per hour
...growing Treasury team. This organization manages a high-volume, multi-entity treasury... ...Heightened awareness of cyber fraud risks and best practices for secure payment processing... ...with discretion and professionalism. Analytical mindset with the ability to identify...Contract workWork at officeFlexible hours$1,000 per month
...performance. Primary Function The Portfolio Manager is responsible for client relationship... ...talents, project management, and analytical skills. Principal Duties Serve as the key... ...policy. Be accountable for key operational risk-management metrics including investigating...Work experience placement- ...Strategy, Corporate Affairs, Legal, Risk, and business leadership teams... .... ~ Exceptional analytical and problem-solving skills, including... ...ability to successfully manage multiple priorities and deliver... ...Schwab's strategy, financial model, and business performance....Relocation
$45k - $100k
...that supports and rewards you as you learn the skills, systems and business practices you need to succeed in our client-first business model. The new financial advisor compensation program includes trainee pay, a supplemental salary for up to five years, commissions and...TraineeshipWork at officeLocal areaWork from homeHome officeFlexible hours- Greystar seeks a Treasury Analyst to support centralized treasury operations in our Dallas/Southlake office. You will manage bank account openings, signature cards, and daily banking requests, coordinating with accounting and external banks. The role requires strong Excel...Remote jobWork at office
- ...estate planning specialists. Candidates should possess a Bachelor's degree in a related field and complete CFP® coursework. Strong analytical, communication, and organizational skills are essential. The role provides excellent benefits including company-paid insurance,...
$72.1k - $87.8k
...IL or offices in Canada. The Portfolio Manager is responsible for managing a portfolio of... ...concurrently ensuring robust portfolio and risk control. The role is keenly focused on... ...skills, both verbal and written. Strong analytical and problem‑solving skills. Flexible and...Contract workCasual workWork at officeFlexible hours- ...Support comprehensive financial planning by preparing analysis, modeling scenarios, and helping align investments to client goals, life... ...in sales, business development, client relationship management, or a role requiring strong interpersonal communication skills...Full timeTemporary workFlexible hours
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$70k - $80k
...team of paraplanners that supports Wealth Management Teams nationwide by creating customized,... ...to detail, a process‑driven mindset, analytical skills, high follow‑through, and excellent... ...Tax planning Asset protection and risk management needs analysis Partnering with...Temporary workWork at officeLocal areaHome officeMonday to Friday- ...maintain profitable relationships with investors. Responsible for managing key existing clients and serving as a driver in selling... ...to detail Excellent critical reasoning, quantitative, and analytical skills demonstrated by work experience and/or academic record...Work experience placementWork at officeLocal areaShift work
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