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|Sector||Credit & Risk Management|
A Global Investment Bank is looking for a Model Risk Governance & Control Manager to join their growing team. Your main responsibility will be to work with the Counterparty Risk, Credit Models, Structural & Liquidity and Market Risk Models owner to ensure that all internal and external requirements are met in relation to implementation of model changes.
Managing changes to the Counterparty Credit Risk & Credit Models end to end.
Capability to develop quantitative risk assessment tools to ensure the robust management and control of models.
Ensure that models are fit for purpose and identify incorrect model usage.
Review of technical documentation and acting as Models SME.
A quantitative background ideally with experience of model risk management, in particular counterparty credit risk & risk models.
Extensive exposure to models life cycle, building, developing, monitoring and validating.
Good experience in counterparty credit risk.
Demonstrates awareness and understanding of the regulatory requirements and expectations.
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