Model Risk Management Framework - Associate Firm Risk Management Firm Risk Management (FRM) supports Morgan Stanley... opportunity to drive enhancements to the existing Model Risk Management framework across the model lifecycle globally across the...
Risk Management Department of the Americas Division. Reporting to the Director of Credit Portfolio Risk, the Associate... on enhancing credit risk processes, data, and technology to strengthen the firm's overall credit risk management framework. Role...
Job title: FRM Data Risk Team Associate Division: Risk Management Role: Risk Data Level: Associate Location: New... York Firm Risk Management The Firm Risk Management (FRM) division supports Morgan Stanley to achieve its business goals...
Industry/Sector Banking and Capital Markets Specialism Financial Risk Management Level Senior Associate..., implementing credit process redesign initiatives (e.g., target operating model for credit lifecycle), redesigning risk management...
for Morgan Stanley's portfolio of trading assets, as required by the regulatory framework and the Firm's risk management needs... a key role in enhancing the current risk management framework and ensuring compliance with regulatory requirements...
: Partner with the various lines of business to enhance modeling and analytical framework. Particularly focused on Value-at-Risk... based on full or part-time status, exempt or non-exempt status, and management level. This role is expected to accept...
of Associate, Treasury and ALM II to join our Corporate Treasury Interest Rate Risk team. This role is located in New York, NY... Develops and produces interest rate risk reports and briefings for senior management and governance forums such as Asset...
with derivatives marketers, relationship managers, risk management, credit department and legal to mitigate risk Support negotiation... President level, reports to the Head of Hedge Fund Credit Services within the Chief Operating Office of SMBC Global Markets...
, Project Planning, R&D (Research And Development), Resource Allocation, Risk Management, Senior Management, Stakeholder... Management, Time Management Skills, Waterfall Model...
trade pricing and risk management of existing exposure. Develop, maintain, and enhance quantitative pricing and risk... and Object-Oriented Programming principles to develop desk tools to facilitate pricing and risk management of trades. Drive the...
skills, especially in risk analysis and financial modelling, as well as a deep understanding of the contractual framework... Portfolio Management team. Work is generally conducted by deal teams whose composition change with each transaction, enabling...
skills, especially in risk analysis and financial modelling, as well as a deep understanding of the contractual framework... Portfolio Management team. Work is generally conducted by deal teams whose composition change with each transaction, enabling...
skills, especially in risk analysis and financial modelling, as well as a deep understanding of the contractual framework... Portfolio Management team. Work is generally conducted by deal teams whose composition change with each transaction, enabling...
with IT to ensure a smooth functioning of the pricing & risk framework Liaise with the Firm’s control groups (Finance, Risk..., investment management and wealth management services. The Firm's employees serve clients worldwide including corporations...