and reports, leading to financial loss, poor business decision-making, or reputational damage. As a Quant Model Risk Associate... - Market Risk working in Model Risk Governance and Review Market Risk, you will play a crucial role in reviewing market risk...
an excellent opportunity for skill development, setting us apart from typical validation teams. As a Quant Model Risk Associate... in the Model Risk Governance and Review Group which is responsible for end-to-end model risk management across the firm...
applications. Work closely with controllers and model risk groups to ensure thorough documentation and approval of models...FID – FXEM Quant Strategist – Assoc/VP Department Overview The Fixed Income Division (FID) is comprised of Interest...
decisions. Implement frameworks to manage risk centrally and build optimal portfolios across FICC asset classes. Build model...Job Category: Vice President Job Description: FICC Quantitative Researcher, Associate / VP, London We are a team...
is a dominant player. Job Summary: As an Associate within the QR Market team, you will mainly contribute to the FnO and OTC.... We leverage the JP Morgan Athena quant platform to provide pre- and post-trade and risk management capabilities for Cash Equity...
trading and market making, and appropriate financial risk controls. Job responsibilities: Develop advanced analytical... and risk management models and capability Implement these models in our quant library and trading/risk platforms, carrying out...
, and enhancing models that capture market dynamics, price risk, and inform systematic portfolio strategies. It's an opportunity... insights into investment processes. Support ongoing research and model validation initiatives across the quant platform...
Athena and Analytics team, you will be focusing on cross asset topics ranging from pricing library and market model design... and risk manage financial transactions. We develop these in Athena, which is a next generation risk, pricing, and trade...
into executable financial and market-making products (structured options, deferred premiums, rolling spreads, hybrids). Model deal... in coordination with Trading, Risk, and Quant. Continuously evaluate live structures and post-trade performance to refine future...