Bank of America
Bank of America
Bank of America — банк ісі, қаржы және финтех салаларында қызмет көрсететін жаһандық қаржы ұйымы. Оның қызметтеріне жеке банкинг, шағын бизнеске қолдау көрсету, активтерді басқару, инвестициялық қызметтер және жеке тұлғаларға, кәсіпорындар мен ұйымдарға капитал нарықтарына қол жеткізу мүмкіндігі кіреді. Компания сондай-ақ тұрақты қаржыландыру, әртүрлілікті қолдау бастамалары және қоғамды дамыту бағдарламалары арқылы жауапты өсуге назар аударады.

Quantitative Finance Analyst

Builds models, stress tests, and risk systems supporting Bank of America’s market and counterparty risk operations. Contributes to regulatory reporting and model validation.

Сипаттама

  • Lead quantitative analysis and modeling projects for assigned business units or risk areas.
  • Develop models, analytical processes, and systems approaches.
  • Prepare technical documentation for related work.
  • Partner with Technology teams to design systems that run developed models.
  • Manage market risk stress testing from scenario design and implementation through results analysis, consolidation, and internal and external reporting.
  • Help prioritize quantitative work in line with the bank’s overall strategy.
  • Find opportunities to improve model development and validation by reviewing approval decisions, documentation feedback, and project challenges.
  • Support model development and model risk management in areas aligned with business needs and enterprise risk appetite.
  • Offer methodological, analytical, and technical guidance to challenge development and validation work and surface potential risks.
  • Share submission and validation outcomes with model stakeholders and senior management.
  • Analyze large datasets statistically and interpret findings using qualitative and quantitative methods.
  • Provide subject matter expertise to Strategic Risk Initiatives, Risk Management, GRA, regulators, Audit, MRM, QSG, and MRT/FO technology.
  • Support requirements gathering, system design, and adoption testing.
  • Design strategic systems for Full Revaluation Risk, Reference Data, and Market Data.
  • Help implement firm-wide initiatives across Market Risk and Counterparty Risk.
  • Maintain and update existing risk systems.
  • Support new regulatory requirements and improve handoff processes to production teams.
  • Provide Market Risk model and systems support to Risk Managers, GRA, and external teams.

Талаптар

  • Master’s degree in a related field or equivalent professional experience.
  • Two to three years of experience in Risk, Finance, or a related discipline.
  • Degree in Statistics, Mathematics, Computer Science, Information Systems, Physics, or another quantitative field.
  • Demonstrated experience in a related quantitative role.
  • Experience scripting with Python, Excel, and SQL.
  • Strong technical documentation skills.
  • Excellent analytical and problem-solving abilities.
  • Ability to work independently and collaboratively.
  • Strong communication and interpersonal skills.
  • Knowledge of financial markets and risk management.
  • Broad understanding of financial markets and products.
  • Availability for a 40-hour work week.
  • Must work within the United States shift and time framework.

Артықшылықтар

  • Eligible for discretionary incentives and participation in the annual discretionary plan.
  • Annual discretionary award considers individual performance, line or group performance, and overall company results.
  • Eligible for benefits.
  • Industry-leading benefits package.
  • Paid time off.
  • Employee resources and support.
  • In-office culture with flexibility suited to role responsibilities and business needs.
  • Opportunities to learn, grow, and contribute.

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