A company is looking for a Manager, Risk Analytics to conduct actuarial analyses and enhance risk management strategies.Key ResponsibilitiesConduct in-depth actuarial analyses on insurance products and portfolios to assess financial risk and optimize profitabilityDevelop and maintain forecasting and monitoring models using advanced statistical techniques and machine learning algorithmsExtract and manipulate large datasets using SQL and Python, and create analytics presentations and reports with PowerBIRequired QualificationsBachelor's degree or foreign equivalent in Mathematics, Statistics, Actuarial Science, Engineering, or a related quantitative fieldThree years of experience in risk analytics within Property & Casualty actuarial positionsProficiency in Excel, SQL, Python, and data science techniques for advanced modelingExperience with PowerBI or similar tools for data visualization and reportingFamiliarity with programming languages such as R or SAS for developing advanced statistical models
Senior Manager of Visitation Analytics
A company is looking for a Senior Manager of Visitation Analytics. ...
Global Markets Risk Manager (AVP/VP) - Mortgages and Securitized Products
Required Qualifications:3+years of Market Risk or front office experience with a good understanding of key risk metrics such as VaR and stress testing, especially in relation to securitized productsGood understanding of real estate and credit marketsProven finance or risk background with quantitativ...
VP of Risk Analytics
A company is looking for a VP, Risk Analytics & Quantitative Analysis. ...
Assistant Director of Nursing (ADON)/Risk Manager
About the job Assistant Director of Nursing (ADON)/Risk Manager. Holliswood Center is hiring a Assistant Director of Nursing (ADON) - Risk Manager in Hollis, NY. Assist the DNS with management responsibilities and in maintaining the quality of care. Assist with compliance and ensure effective commun...
Head of Portfolio Risk Analytics
We are seeking a seasoned Risk professional to lead our Portfolio Risk Analytics team. Risk Appetite Framework: Lead the design and implementation of a risk appetite framework tailored to the unique dynamics of Pagaya’s business. Portfolio Risk Monitoring: Design and implement a comprehensive portfo...
Global Markets Risk Manager - Equities Market Risk
In addition to providing independent oversight of the market risks taken by trading desks, especially Exotics and Investable Indices, the market risk manager will assess a broad spectrum of risks, liaising with other risk functions as necessary, including operational, credit, and counterparty risks....
Vice President, Metrics and Analytics Manager II
The Bank of New York Mellon seeks Vice President, Metrics and Analytics Manager II in New York, NY, to produce and report strategic measurements that demonstrate the value and effectiveness of the CTS organization and formulate mathematical or simulation models of problems, relating constants and va...
Associate Director - US ALM Risk Manager
The incumbent is responsible for applying a working level of knowledge of Asset Liability Management (ALM) (also referred to as banking book market risk, non-trading market risk, or interest rate risk in the banking book - IRRBB) and Funds Transfer Pricing (FTP); a primary responsibility of this rol...
Risk Manager I- Card Analytics
The Risk Manager I manages the creation, implementation and validation of various risk segmentation strategies including, but not limited to: adjudication, account management, exposure management, risk segmentation, and financial return optimization. The Risk Manager I's primary accountability is pr...
Environmental and Social Risk Advisory Manager
Responsible for working with GEG/CSR/Public Policy teammates, lines of business, risk and other partners to advise and guide on the evaluation of potential environmental and social risks . Identify and analyze a full range of known and emerging E&S issues relevant to the bank and produce high qualit...