
Quantitative Model Validation Specialist
3 days ago
The role involves thorough validation of mathematical models applied in finance, including initial and periodic validations across various asset classes and model types.
Responsibilities:- Validate quantitative methodologies for accuracy and relevance
- Design and implement alternative challenger models
- Conduct detailed reviews of model frameworks, assumptions, data, and results
- Test numerical implementations and review documentation
- Evaluate adherence to governance requirements and regulatory standards
- Document findings and recommendations for model improvements in validation reports
- At least a first relevant experience in quantitative modeling (model development or validation) in areas such as market risk, credit risk, or derivatives pricing
- Optional: Capital models, corporate credit risk models, or other specialized fields
- Strong background in mathematics and probability theory applied to finance
- Proficiency in programming languages such as Python or R
- Good knowledge of simulation and numerical methods
- Beneficial: Understanding of financial products, awareness of latest technical developments in financial mathematics and risk modeling
- A postgraduate degree in a quantitative discipline such as statistics, mathematics, mathematical finance, or econometrics
- Strong problem-solving skills
- Excellent analytical and numerical skills
- Logical approach to work with attention to detail
- Excellent communication and interpersonal skills
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