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Sr 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).Schwab’s Asset Liability Management and Market Risk Modeling team develops and maintains models that inform financial planning, market risk management, hedging strategies, capital stress testing, and balance sheet decisions across our banking, broker-dealer, investment, and derivatives portfolios. As a senior individual contributor, you will help ensure the PolyPaths modeling platform and its production infrastructure remain accurate, scalable, well-controlled, and ready to support critical business decisions.In this role, you will lead enhancements, upgrades, testing, production validation, and issue resolution for PolyPaths and its Enterprise jobs. You will model interest rate derivatives and hedging strategies, evaluate hedge accounting and accumulated other comprehensive income impacts, and analyze outcomes across net interest income, economic value of equity, capital, and financial forecasts. Your judgment will help strengthen model performance, production controls, data quality, and governance across business-as-usual and capital stress-testing processes.You will collaborate across Treasury Capital Markets, Investment Strategy, Finance, Technology, Model Risk Oversight, and external vendor teams to solve complex platform and modeling challenges. Through technical leadership, clear communication, and practical problem-solving, you will establish modeling standards, mentor colleagues, and translate complex analytical and accounting concepts into insights that support sound decisions and meaningful business outcomes.What you haveRequired qualificationsBachelor’s degree in Applied Mathematics, Engineering, Finance, Economics, Statistics, Computer Science, or a related quantitative discipline5+ years of professional experience in asset liability management, net interest income or economic value of equity sensitivity analytics, scenario analysis, or an equivalent combination of professional experience and graduate studiesExperience modeling cash flow or fair value hedging strategies within a major banking or insurance organizationExperience applying ASC 815 hedge accounting concepts, including accumulated other comprehensive income, other comprehensive income amortization, basis adjustments, or gain and loss forecastingHands-on experience using PolyPaths to create Enterprise jobs, model fixed income securities, construct yield curves, perform AppPort analytics, and review or troubleshoot asset liability management simulation runsExperience using BatchCalc, BatchALM, or distributed processing to automate processes within the PolyPaths environmentPreferred qualificationsAdvanced degree in a quantitative or technical disciplineCFA, FRM, PRM, or a comparable professional designationExperience leading vendor platform upgrades, release assessments, regression testing, production validation, model change governance, or remediation of complex production issuesProficiency in Modeling and Model Evaluation to design enhancements, test results, identify unexpected outcomes, and support reliable financial and risk decisionsExperience applying Derivative Securities and Fixed Income knowledge to interest rate swaps, caps, floors, investment portfolios, and hedging strategiesExperience using Python, SQL, or comparable technologies to enhance automation workflows, data pipelines, analytical tools, regression testing, or production controls in a highly regulated environmentAbility to apply Risk Management and Data Analysis to assess output reasonableness, data quality, control effectiveness, and the potential impact of model or platform changesDemonstrated Problem Solving and Decision Making when diagnosing production issues, evaluating alternatives, and implementing practical solutions in ambiguous situationsStrong Cross-Functional Collaboration and Communication skills, with the ability to explain complex modeling topics, adapt to different audiences, and build alignment without direct management authorityDemonstrated Technical Leadership through mentoring, establishing standards, sharing knowledge, and improving the quality and consistency of modeling practicesStrong Attention to Detail, Initiative, and adaptability when balancing production obligations, platform changes, control requirements, and evolving business prioritiesIn addition to the salary range, this role is eligible for bonus or incentive opportunities.Job SummaryRequisition ID: 2026-125099Posted Date: 12 hours ago(9/15/2026 4:59 PM)Category: Risk & RegulatorySalary Range: USD $110,000.00 - $190,000.00 / YearApplication deadline: 9/23/2026Position Type: Full time

Vacancy posted 4 days ago
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