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: 14 hours 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
- ...your development.The first line Finance Risk Management (FRM) function is an in-business... ...function reporting to the Head of Strategy & Analytics.What you haveThe following qualifications... ..., and securities lending operating models.Experience analyzing financial institutions...SuggestedFull time
- ...work on site in the specified location(s).The Asset Lifecycle Risk Management team provides independent oversight of technology risk and... ...resilience risksDemonstrated ability to apply independent judgment, analytical thinking, and structured problem solving to complex risk...SuggestedFull timeWork at office
- ...and transform the finance industry together.As a Senior Manager, Employee Transition Risk Management, you will play a critical role in protecting... ...PowerPoint, and Adobe Acrobat.Strong strategic thinking and analytical skills, with the ability to evaluate complex situations...SuggestedFull timeWork experience placement
- ...for a dynamic and engaging Business Unit Risk leader to join Charles Schwab Premier... ...deployment and operation of digital assets risk management program and roadmap deliverables.Provide... ...is required.Strong interpersonal, analytical, problem-solving, influencing, prioritization...SuggestedFull timeFor contractors
- ...creative problem solving, helping us “challenge the status quo” and transform the finance industry together.Retail Supervision and Risk Management is an independent group responsible for providing delegated review of control and risk mitigation functions to Schwab’s...Full time
- ...preferred5 years of financial services experience with an asset manager, audit firm or custodian bank, preferably in accounting operations... ...ModelFidelity is transitioning to a full-time onsite working model through a phased rollout across regions and roles. Currently, some...Full timeWork experience placement
- ...Investor RelationsRole Summary:The Managing Director, Investor Relations... ...Communications, Legal, Risk, and business leadership teams... ...Investor Relations team with strong analytical capability, execution... ....Strong command of financial modeling, reporting tools, databases,...Full timeRelocation
- ...Applicants must be currently authorized to work in the United States on a full-time basis without employer sponsorship.Schwab Asset Management is the asset management arm of Charles Schwab and is committed to helping investors achieve their financial goals through a...Full timeWork at office
- ...position.The RoleThe role of Investment Management Consultant II is to act as a product authority... ...this includes Annual Strategic Reviews, risk mitigation, and acting as Portfolio... ...transitioning to a full-time onsite working model through a phased rollout across regions and...Full time
- ...toward their financial goals. Operating within a team-based, technology-enabled model, Advisors guide clients across key financial priorities such as retirement planning, investment management, development of a holistic portfolio strategy, and supporting broader...Full time
- A leading financial services firm is seeking a Supervisor for Investment Operations in Westlake, OH. The role involves overseeing various investment teams, ensuring productivity, and implementing process improvements. Candidates should have a High School Diploma and substantial...Full time
- ...institutional consulting teams. This role involves client relationship management, assisting in investment recommendations, and ensuring the... ...Economics, and 2-5 years of professional experience. Strong analytical skills and proficiency in Microsoft Office Suite are essential...Work at office
- ...family wealth clients. The ideal candidate will demonstrate strong analytical capabilities, exceptional communication skills, and the... ...preferred >4 years of experience in investment consulting, wealth management, or financial services Excellent written and verbal...
- ...Endowments & Foundations. The ideal candidate will demonstrate strong analytical capabilities, exceptional communication skills, and the... ...of new business. Key Responsibilities Client Relationship Management Serve as the primary contact for assigned institutional clients...Work at office
- ...providing high-touch service and on-going support for the wealth management needs of the ultra-high net worth client. In partnership with... ...Consultant Partner at Charles Schwab, you will operate in a team-based model partnered with one up to three Sr. Wealth Consultants. In a...Contract workLocal area
- ...leading the quarterly earnings process, managing investor and analyst engagement, and providing... ...activity, peer performance, analyst models, and shareholder composition,... ...confidential information appropriately. Strong analytical capabilities with experience leveraging...Work at officeLocal area
- ...Your Career as a Wealth Advisor The wealth management industry is full of training programs... ...investments, taxes, retirement planning, risk management, and estate planning. As an... ...skills. High attention to detail and strong analytical ability. CFP designation or pursuit...
$23.08 - $34.62 per hour
...and Support teams. Project involvement and/or assignments from management as required. REQUIRED QUALIFICATIONS: - High School... ...and verbal communication. - Excellent customer service and analytical skills. - Ability to recognize and understand client issues...Hourly payWork at officeFlexible hours- ...Full-time Description Position Summary: The Commercial Portfolio Manager 1 is responsible for assisting the commercial loan team with the... ...transactions to ensure maximum profitability with reasonable risk; monitors credit quality within assigned portfolios and takes action...Full timeWork at office
$96k - $181k
...personalized banking, borrowing and investment solutions. The Relationship Manager is at the center of this client promise acting as the primary... ...decision-making processesRisk Management: Implements or manages risk management for own business unit and documents key steps of the...Full timeWork experience placementWork at officeLocal areaFlexible hoursNight shift- ...integration with upstream and downstream applications. • Strong analytical and problem solving abilities. • Excellent communication,... ...(SLA) rules and AHCS accounting transformations. • Build and manage mapping tables to integrate financial data from external systems...
- ...investments, including individual equities and fixed income instruments, managed accounts, commodities, and alternative investments, among others... ...for each customer, as appropriate. Ensure in all cases product/risk suitability for each customer. Meet goals established for...
$41.25k - $68.75k
...encourage candidates to connect with their recruiter and hiring manager to discuss workplace expectations and confirm branch hours and shift... ...problems effectively to drive customer loyalty. Manages risk through adherence to all policies and procedures, demonstrating...Full timeTemporary workPart timeWork experience placementWork at officeShift work- ...Bachelor's degree and three years' experience in selling financial products, along with necessary licenses. Strong interpersonal, time management, and organizational skills are essential. This position offers the opportunity to tap into an untapped customer base. #J-18808-...
- Highland Consulting Associates, Inc. is seeking a passionate Consultant to join our Family Wealth team. You will deliver comprehensive investment solutions for private investors and multi-generational families, translating complex concepts into clear, actionable guidance...
- ...unique balance between professional development and personal flexibility, alongside a structured path to becoming a licensed wealth manager. With comprehensive training, mentorship, and access to ongoing professional development, Equitable Advisors is focused on...Flexible hours
- U.S. Bank seeks an Advance Practice Banker to develop and manage full-service relationships with affluent clients, providing high-level counsel and service while ensuring compliance with banking regulations. The role requires a Bachelor’s degree and 8+ years in Wealth...
- Soteria Reinsurance Ltd. is looking for a Planning and Advice Associate based in Westlake, TX. In this full-time position, you'll engage with clients about retirement and investment needs, providing guidance using Fidelity’s services and tools. Ideal candidates should possess...Full time
- ...among branch staff. Regularly meets with branch manager and other internal business partners to... ...Prospecting Client Relationship Building Credit Risk Analysis Customer Engagement Financial Analysis Financial Modeling Investment Banking Public Speaking Relationship...
Do you want to receive more vacancies?
Subscribe and receive similar vacancies to Manager, Risk Analytics/Modeling. Be the first to apply!

