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Analytic Recruiting Inc Jobs

The role will have responsibility for a team that is performing portfolio analysis at the individual loan level, work with the heads of each business unit on determining,...
Requirements: Minimum 2-5years development experience in the financial/derivatives world. * Good object oriented design skills * Strong C++* Good knowledge of derivatives...
Candidates should have either fixed-income and/or equities applications experience. Risk management application knowledge preferred. Five plus years of application...
This position sits within the investment team. The goal of this team is to build, review, clean and maintain tools for research and portfolio management to improve investment...
The role will work on a team that is responsible for creating and designing financial data flows and a financial data warehouse for a large and complex financial...
Additionally, this person will construct financial models that are the basis for 'grey box' fixed income trading strategies. Candidates should have an advanced degree in...
The role is to support the firms Economic Capital and Solvency models and processes used for stress testing and risk analysis. This is both a hands on (stress test design and...
Responsibilities: Supporting Windows desktop and server systems. Installation and deployment of PC, Servers and laptops Documentation of systems and support procedures...
Responsibilities will include analyzing fixed-income analytics and incorporating those calculations onto the computing grid. An understanding of financial markets and related...
This Candidate must have direct experience supervising a Funding Desk of a major bank and bring deep knowledge of the Fixed Income Securities markets, Structured Products...
This senior position will be responsible for assisting the traders to understand and quantify their risks and communicate those risks to senior management. The position is...
Position requires: Bachelors Degree in Computer Science, Engineering or similar degree. Strong development skills in C++ or Java, and shell scripting in a UNIX environment....
Credit Risk Rating (PD,LGD)-Wholesale Scorecard preferred, Actuarial Pricing and ALM, Asset Allocation, Structured Finance, Market and Credit Risk. This firm will expect the...
Additionally, this person will be responsible for analyzing issuer, collateral and deal performance. Candidates should have a quantitative bachelors degree and 2+ experiences...
This senior role will work directly with each unit's COO and CFO to plan and implement optimal funding and capital use strategies. The role requires extensive understanding...
The role is to build, document and support Basel II, PD, LGD and EAD models. Candidate must have deep experience with integrating Basel II models and have knowledge of credit...
The ideal candidate will have a minimum of 10 years experience providing research coverage of technology stocks and other sectors and/or subsectors. Job responsibilities...
The Candidate will manage a team of professionals responsible for Risk Management across Fixed Income, Equity, Convertibles, Mortgage Back Securities, and Derivatives trading...
This team will work with Senior Business Leaders to identify significant business problems and work with senior managers on applying business intelligence and advanced...
The role will focus on time series and statistical analysis of market risk factors, asset pricing and asset liability management and tail risk for a major asset management...
The group will provide state of art statistical insights on modeling techniques, data manipulation, model building and model implementation. Candidates must be able to build...
Using your experience in property and casualty insurance risk reporting and balance sheet analytics, participate in high profile initiatives by collaborating with senior...
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