Structural Market Risk Manager: Quant Models & ALM
$88.8k - $165.6kBMO
BMO seeks a Manager, Structural Market Risk in New York to support the development and enhancement of quantitative risk models. This role includes collaboration with various teams to manage structural market risk and assure compliance with regulatory requirements. Candidates should have 5-7 years of relevant experience, strong analytical and communication skills, and proficiency in tools like Excel and Python. The position offers a salary range from $88,800 to $165,600, along with a comprehensive benefits package. #J-18808-Ljbffr BMO
- BMO U.S. is seeking a Manager, Structural Market Risk to lead development and implementation of quantitative SMR models for portfolios with contractual maturities and embedded options. You will work with quantitative teams, business lines and regulators to ensure robust...Suggested
$88.8k - $165.6k
The Manager, Structural Market Risk (SMR) supports the research, development, and enhancement of quantitative risk models that measure and manage structural market risk across the Bank’s portfolios... ...Management Framework (or similar ALM software), including configuring,...SuggestedLocal area$125k - $222.5k
Overview The position is within Market Risk Management, which is responsible for... ...interacting with traders, quants, research, etc. on a daily... ...A hybrid working model, allowing for in-office / work... ...as a first line (trading, structuring) of defense, ideally covering...SuggestedWork at officeWork from home$135k - $150k
...Expertise to JPMorgan Chase. As part of Risk Management and Compliance, you are at the center... ...‑in‑class. As a Risk Management - Quant Modelling Senior Associate within the MRGR CIO team... ...coverage area in terms of products, markets, models, risk management practices, and...SuggestedWork experience placement$150k - $185k
...regions. By connecting markets East & West, Nomura... ...business divisions: Wealth Management, Investment Management... ...Overview Nomura's Risk department plays a crucial... ...focus in Flow and Structured Derivatives. The role... ...of various vol pricing model a plus. Very strong communication...SuggestedRelocation package$160k - $200k
Job title: Market Risk Manager - Securitized Products Corporate Title: Vice President Department: Market Risk Management Location... .... Drive enhancement of risk methodologies and models for complex structured products Review and challenge trading strategies and risk...Relocation package- ...expertise to JPMorganChase. As part of Risk Management and Compliance, you play a crucial... ...and striving to be best-in-class. As a Quant Model Risk Associate in the Model Risk Governance... ...of models for specific products and structures. Evaluate model behavior and ensure...
$165k - $275k
Overview Executive Director - Market Risk Manager, Head of XVA Coverage, US Firm Risk Management... ...credit, market, liquidity, operational, model, and other risks. Role Overview This... ...framework, including stress testing, limit structures, and risk metrics. Sponsor and drive...Temporary work- ...of Cash and Derivatives like Structured Products, Exotics, Options, Delta... .... This person will manage a lean team and be responsible... ...for being the Head of Equities Market Risk for the US. This individual will... ...Risk Analytics, and FO Quant team to provide best in class...
$50 - $60 per hour
DataAnnotation is seeking a Risk Modeling Manager to help train AI models focused on finance. This role offers a chance to improve AI Assistant quality through evaluation and structured feedback. Ideal candidates should have advanced degrees and relevant financial experience...Remote jobHourly payWork from homeFlexible hours$200k - $250k
...Description Soros Fund Management LLC (SFM) is a global... ...empowers us to capitalize on market dislocations. At SFM,... .... Team Overview The Risk team at Soros Fund... ...to test assumptions, structures, and concentrations.... ...maintain pricing and risk models for complex...Permanent employmentWork at office- DataAnnotation is seeking an experienced Risk Modeling Manager to train AI models and evaluate their outputs for decision-making in finance.... ...including evaluating the reasoning of AI outputs and providing structured feedback to enhance model accuracy. #J-18808-Ljbffr...Remote jobFor contractors
$99k - $252.45k
...Applicable Specialism Actuarial Services Management Level Manager Job Description & Summary... ...Opportunity As part of the Actuarial, Finance & Risk Analytics team you will lead the development of innovative models and data structures that enhance risk management and reporting...$165k - $185k
...Join a high-impact team within our Market Risk Department, providing critical, independent... ...Risk Americas, this group is pivotal in managing risk across diverse asset classes including... ...sophisticated pricing and valuation models. High proficiency in programming languages...Work at officeLocal area- ...Talen Energy is seeking a Market Risk Manager responsible for daily market risk and P&L reporting, risk limit monitoring, portfolio analytics... ...to support forecasting and planning. Maintain and update modeling inputs (e.g., PTC inputs) and related documentation. Prepare...Day shift
- ...Energetics is Australia’s climate risk and energy transition expert... ...the role: As an Electricity Market Modeller, you will join our Energy... ...implement approaches to the management of energy market risks for... ...energy contract and hedging structures and interact with clients to...Contract workWork at officeWorldwideFlexible hours3 days per week
$118.4k - $197.3k
...looking for a professional in New York to support the origination, structuring, and execution of lending mandates. The role involves... ...relevant experience. Skills in financial analysis and cash flow modeling are essential. A competitive salary range between $118,400.00...- ...Vice President, Market Risk Manager - Equities About the Company A top-tier investment bank adding a VP Market Risk Manager to its... ...activity and risk exposures, with a particular focus on flow and structured derivatives. This role involves close partnership with...
$165k - $180k
Overview MAJOR JAPANESE TRUST BANK SEEKS MARKET RISK MANAGER $165,000-$180,000. HYBRID 2 Days onsite in MIDTOWN MANHATTAN. ONLY CANDIDATES in... ...desired. Proficient in Excel, Word, PowerPoint, Access. Modeling understanding and capabilities. Strong oral and written communication...Temporary workWork at office$150k - $190k
What You’ll Be Doing Capital Markets Risk Management (CMRM) provides second line of defense oversight of market risk and trading credit risk stemming... ...and business support groups to design and improve risk models to capture risks originating from Fixed Income trading....Flexible hours$125k - $203k
Job Title Head of Portfolio Management US and Asset Class Corporate Title Vice President Location... ...Overview The Enterprise and Treasury Risk Management (ETRM) function provides a... ...innovation, and collaboration A hybrid working model, allowing for in-office / work from home...Full timeWork at officeWork from home- ...Derivatives Clearing) Risk Manager Job Req Id: 26961143 Location... ...; Event; Macro; and Quant / QIS strategies). KEY... ...exposures, ensuring market-driven counterparty... ...Establish and maintain limit structures and governance... ...test developers to build models for accurate...Full timeNight shift
- ...a Senior Credit Officer for Structured Credits & Commercial Real Estate... ...leadership role involves managing a diverse portfolio of credit... ...transactions while ensuring effective risk management. With a focus on... ...company offers a hybrid work model, competitive compensation,...
$100k - $140k
Firm Risk Management Firm Risk Management (FRM) supports Morgan Stanley to achieve its... ...to losses as a result of credit, market, liquidity, operational, model and other risks. Background on... ...methods, prepayment/decay models, term structure methodologies, liquidity modeling...Temporary work$99k - $252.45k
Job Summary At PwC, our risk and compliance team focuses on regulatory compliance and risk management for clients. In actuarial services, you will analyse and manage financial risks through statistical modelling and data analysis, generating insights and recommendations...- Join JPMorgan Chase's Risk Management and Compliance team, where your expertise... ...by leveraging technology and market insights to navigate a... ...for IRR management strategies, modeling assumptions, and connectivity... ...guide the firm through complex ALM and regulatory challenges...Work at office
- ...Blue Shield of Rhode Island is seeking an experienced actuary for a remote position focused on provider contracting and financial modeling. Responsibilities include leading actuarial support, forecasting financial impacts, and collaborating with finance and contracting...Remote jobFlexible hours
$125k - $222.5k
...Position Overview Job Title Market Risk Manager Energy Corporate Title Vice President... ...control teams to provide thoughtful, structured market risk oversight that supports sustainable... ...and collaboration A hybrid working model, allowing for in-office / work from...Full timeWork at officeWork from home- ...global alternative asset manager focused on delivering... ...excess return across the risk‑reward spectrum from... ...for the private credit market. This role will own the... ...scaling Apollo’s market‑structure initiatives and commercializing... ...playbook, governance model, and cross‑GP data...
- Soros Fund Management LLC in New York is seeking a skilled Risk Manager to provide independent risk oversight and analytical... ...teams and building risk models to enhance decision-making. The ideal candidate has 7-10 years of market risk experience, strong quantitative...
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