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Analytics Manager

Jobtailor

Lead quantitative research, model development, and analytical support for models used in agency mortgage-backed securities valuation, risk management, and capital markets decision-making Manage complex modeling initiatives across research, model design, implementation, performance monitoring, validation, and production support Lead a team responsible for mortgage prepayment, valuation, and market-risk model research, development, calibration, implementation, and monitoring Direct Agency MBS prepayment-model research across mortgage products and borrower segments Translate model outputs and complex quantitative findings into actionable insights for Capital Markets, Market Risk, trading, portfolio management, and senior leadership Manage the model lifecycle with Model Risk Management and Validation, including documentation, monitoring, effective challenge, remediation, and resolution of validation or audit findings Interpret model results, monitor performance, and assess risks using relevant business context Drive model modernization through advanced analytical frameworks, AI-enabled automation and workflows, and on-demand analytical capabilities Collaborate with department leadership to develop the strategic plan for the function or related business process Coach team members to communicate technical subject matter clearly and concisely Requirements Minimum 6 years of experience in quantitative modeling, model development, mortgage analytics, or fixed-income analytics Strong understanding of statistical modeling, model calibration, backtesting, benchmarking, sensitivity analysis, scenario analysis, and stress testing Experience supporting models throughout development, implementation, validation, production, and performance-monitoring lifecycles Demonstrated experience leading complex quantitative projects and coordinating work across business, risk, validation, and technology stakeholders Strong written and verbal communication skills, including explaining technical concepts to quantitative and nontechnical audiences Advanced programming skills, particularly in Python, with ability to develop scalable analytical solutions Curiosity and adaptability in learning and responsibly applying new technologies, including artificial intelligence Bachelor's degree or equivalent Expertise in agency MBS, mortgage prepayment modeling, fixed-income valuation, interest-rate risk, or mortgage cash-flow analytics Knowledge of fixed-rate, adjustable-rate, FHA/VA, reperforming, or nonperforming mortgage products Prior experience in the secondary mortgage market and/or capital market trading Master's degree in mathematics, statistics, financial engineering, economics, quantitative finance, or related quantitative discipline preferred Core Competencies Demonstrates expertise in quantitative modeling, model development, and mortgage analytics, with a strong focus on agency MBS and fixed-income valuation. Capable of leading complex projects, translating quantitative findings into actionable insights, and driving model modernization through advanced analytical frameworks. Highest-signal resume keywords Quantitative Modeling Model Development Mortgage Analytics Statistical Modeling Python Programming ATS Optimization Keywords Hard Skills Model Calibration Backtesting Benchmarking Sensitivity Analysis Scenario Analysis Stress Testing Model Validation Performance Monitoring Mortgage Prepayment Modeling Fixed-Income Valuation Soft Skills Strong Communication Skills Team Leadership Coaching Industry Keywords Agency MBS Mortgage Products Secondary Mortgage Market Capital Market Trading Interest-Rate Risk Tools & Technologies AI-Enabled Automation Analytical Frameworks #J-18808-Ljbffr

Vacancy posted 3 hours ago
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