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 days 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
- ...transform the finance industry together.The Asset Liability Management (ALM) & Market Risk Modeling team within the Corporate Treasury develops and... ...analyticsStrong quantitative skills in financial modeling and analytics, particularly related to fixed income products (e.g.,...SuggestedFull time
$77.4k - $135.4k
...through research, financial analysis, and market insights. Manage elements of the competitive bid process, including RFI... ...2 or more years of relevant experience required. Strong analytical and financial modeling skills. Knowledge of healthcare and pharmaceutical industry...SuggestedContract work$161.1k - $198.1k
...Compensation & IncentiveHybrid work model: flexible arrangements for... ...Technology & Data Risk Controls Director is a recognized... ...monitoring, leveraging advanced analytics, AI-enabled capabilities, and... ...Systems, Accounting, Finance, Risk Management, or a related field...SuggestedWork at officeWork visaFlexible hours$121k - $148.9k
...Compensation & IncentiveHybrid work model: flexible arrangements for... ...CoBank, a Portfolio Manager provides relationship management... ...eligibility opinions and internal risk forms as part of the customer... ...and existing customers.Advanced analytical skills including ad-hoc data analysis...SuggestedCasual workWork at officeWork visaFlexible hours$412.4k
...Compensation & IncentiveHybrid work model: flexible arrangements for... ...CoBank, the Chief Risk Officer (CRO) is a senior executive... ...enterprise-wide oversight of risk management for a large US cooperative... ...scenario analysis, and risk analytics supporting capital planning and...Work at officeWork visaFlexible hours$121k - $148.9k
...Portfolio Manager A career at CoBank can offer you the opportunity... ...& Incentive Hybrid work model: flexible arrangements for most... ...eligibility opinions and internal risk forms as part of the customer... ...customers. Advanced analytical skills including ad-hoc data analysis...Work experience placementCasual workWork at officeWork visaFlexible hours- ...Strategy, Corporate Affairs, Legal, Risk, and business leadership teams... ...communications.Exceptional analytical and problem-solving skills,... ...Demonstrated ability to successfully manage multiple priorities and... ...Schwab's strategy, financial model, and business performance.Assist...Full timeRelocation
$86k - $94k
...treasury operations through effective cash management, banking administration, cash... ...principles and treasury operations. Excellent analytical and problem-solving skills with strong attention... ..., lookups, pivot tables, and financial models. Experience with banking portals,...Temporary workWork at officeFlexible hoursShift work$107k - $169k
...join our team. What you'll do Manage and optimise the corporate... ...conditions, proactively managing risks and opportunities Lead end-to... ...Develop detailed financial models comparing real estate options... ...Advanced financial modelling and analytical capability including graphing...Permanent employmentLocal areaFlexible hours$124.36k - $146.3k
...Day One.Job DescriptionSUMMARYAre you a risk leader passionate about credit card processes... .../Audit (RCA) professionals, and RCA Managers to, depending on their function, create,... .../Compliance/Audit competencies.- Strong analytical, process facilitation and project...Full timeWork experience placementWork at officeLocal area3 days per week$98.18k - $115.5k
..., our communities, and each other. Job DescriptionThe Portfolio Manager will be responsible for ensuring that projects are completed on... ...intake, approval and tracking processes including the business case model, prioritization, approval processes, and reporting requirements...Full timeLocal area3 days per week- ...Charles Schwab is seeking a Manager to join their Balance Sheet Strategy team in Lone Tree... ...derivatives and BDAs to hedge interest rate risk and manage fixed-income portfolios.... ...environment. The successful candidate will develop analytics for hedge performance and partner with...
$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$45 - $60 per hour
...has a client in Greenwood Village, CO that is seeking a Treasury Management IT Business Analyst to support commercial banking Treasury... ...Strong knowledge of Treasury Management products and their billing models* Practical experience supporting pricing logic, fee...Contract workRemote work- ...serve the clients' total financial needs resulting in greater market share, wallet share, and profitability. You will be expected to manage the relationship with various business partner entities to ensure cross-sales along with managing service quality to ensure ongoing...Work experience placementRemote workFlexible hours
$52.5k - $96.25k
...a Financial Advisor within PNC's Wealth Management organization, you will be based in the Denver... ...customized customer solutions. Managing Risk - Assessing and effectively managing all... ..., Financial Analysis, Financial Modeling, Investment Banking, Public Speaking, Relationship...Full timeTemporary workPart timeWork experience placementWork at office$105k - $120k
...Job Description Job Description Regional Portfolio Manager - Colorado Region | Greenwood Village, CO As a Regional Portfolio... ...Must be highly self-motivated and customer-centric. ~ Great analytical, critical thinking, and problem-solving abilities. ~ Strong...Full timeFlexible hours$93.6k - $126.3k
...support investor targeting initiatives, manage sell‑side analyst relationships, and coordinate... ...Work meticulously through sell‑side models and research to build and share a... ...optimize the company’s data representation and analytical capabilities. Continuously monitor gold...Interim roleWork at officeLocal area$90.98k - $136.96k
...Finance Underwriter/Credit Products Portfolio Manager II Location Nationwide, MI 48098 Job... ...responsible for independently analyzing credit risk, negotiating loan terms, and providing... ...portfolio management. Advanced financial modeling and risk assessment expertise. Strong...Local area- Redwood Trust, Inc. is seeking a Capital Markets Associate in Englewood, CO to support daily operations and strategic initiatives within the Capital Markets team. You will work on structured finance, mortgage credit, loan trading, and capital markets execution while developing...
- ...maintains long-term relationships with key Supplier Partners; including Winery principals, winemakers, Regional and National Sales Managers, Brand Ambassadors and other gatekeepers/influencers. Has a strong understanding of supplier's expectations, focus items, market...Full timeFlexible hours
- Cornerstone Servicing, a division of Cornerstone Capital Bank, is seeking an Investor Reporting Analyst in Englewood, CO to prepare investor reporting for various deals and remittance types, from private actual/actual to complex private securities. You will review reconciliations...
- ...fiduciary commitment to our clients. As a Wealth Advisor, you’ll manage ongoing client relationships, deliver holistic financial... ...recommendations in a way that aligns portfolios to client goals, risk tolerance, and long‑term outcomes.Coachability: Actively seeks,...Full timeWork at office
- ...personalized service, and a fiduciary commitment to our clients. As a Sr. Manager, Wealth Advisor, you’ll manage ongoing client relationships,... ...recommendations that align portfolios to client objectives, risk profile, and long-term outcomes.Coachability: Demonstrates a...Full timeWork at office
- ...Overview At Brand Asset Management Group, we take pride in the way we serve our clients as well as each other, as teammates. That is why... ...Duties and Responsibilities Input client data; simulation modeling for financial independence Formulation and on-going maintenance...
- Schwab is hiring a Senior Manager, Product Management - Core Investment Products & Asset Manager Relations to shape strategy, governance... ...collaborate across Product, Operations, Technology, Legal, Compliance, Risk, and external asset managers to drive growth, efficiency, and a...
- ...monitor client portfolios for performance and risk. Day-to-day tasks include preparing and... ..., including portfolio construction, risk management, and tax-efficient distribution... ...Comfortable in a performance-based compensation model. Willing to work onsite and attend networking...Full timeWork at officeLocal area
$110k - $160k
...fiduciary commitment to our clients. As a Wealth Advisor , you'll manage ongoing client relationships, deliver holistic financial... ...recommendations in a way that aligns portfolios to client goals, risk tolerance, and long-term outcomes. Coachability: Actively seeks...Work at office- ...PNC Wealth Management is hiring a Financial Advisor to manage an assigned book of business in the Denver market. You’ll consult on investment and insurance strategies, develop personalized financial plans and build strong client relationships through networking and referrals...
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