Sr. Quantitative Finance Analyst responsible for quantitative analytics and modeling projects at Bank of America. Leading model development and collaborating with technology staff.
Responsibilities
Conducting quantitative analytics and complex modeling projects for specific business units or risk types.
Leading the development of new models, analytic processes, or system approaches.
Creating technical documentation for related activities.
Working with Technology staff in the design of systems to run developed models.
Leading end-to-end market risk stress testing.
Identifying continuous improvements through reviews of approval decisions on relevant model development or validation tasks.
Providing oversight of model development and model risk management to support business requirements.
Requirements
Master's degree in Finance, Accounting, Economics, Business, or related field
Alternatively, a bachelor's degree in a technical field (e.g. engineering, computer science, mathematics, statistics) with a demonstrated interest in finance and markets.
Progress toward (or completion of) CFA is a plus.
Ability to identify key industry drivers, excellent quantitative skills and judgment in the field of research.
Prior experience in a research-oriented role (e.g. Equity, Credit) is a plus.
Strong economic and financial skills and keen interest in markets.
Strong writing and spreadsheet skills.
Must be an expert in MS Excel, experience with statistical packages and/or programming preferred.
Excellent communication skills, both written and verbal.
Strong attention to detail, ability to multi-task.
Collaborative team player.
Benefits
Paid time off
Access to resources and support for employee wellness
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