Strategic Risk Model Architect
1 week ago
Societe Generale, a leading international banking group, is seeking a skilled Quantitative Advisor to join its esteemed Risk Management Department. As part of this prestigious team, you will play a pivotal role in shaping the bank's risk management framework.
With a focus on model risk management, your expertise will be invaluable in ensuring the integrity and soundness of the bank's models. Your responsibilities will include:
- Model Validation: Conduct independent reviews of complex models employed across various business units, verifying their accuracy and effectiveness.
- Data Analysis: Work with large datasets to assess data quality and processing, identifying potential risks and areas for improvement.
In collaboration with Senior Quantitative Advisors and the team Manager, you will contribute to the development and maintenance of the continuous model monitoring (CMM) framework, assessing model performance and business environment on an ongoing basis.
To succeed in this challenging role, you will need:
- Education: A Bachelor's degree in a quantitative field such as Mathematical Finance, Financial Engineering, Statistics, or STEM; a Master's or PhD preferred.
- Experience: At least 3 years in model development, validation, or a front-office quant role, with fewer years accepted with a PhD.
- Technical Proficiency: Strong programming skills in Python, R, C++, or similar languages.
- Data Management: Experience working with large datasets and quantitative analysis.
- Model Risk: Familiarity with model risk management practices and regulatory requirements.
The estimated salary for this position is $120,000 per year, based on industry standards and location.
Societe Generale offers a hybrid work arrangement that allows employees to balance remote work with on-site collaboration. The company values diversity, equity, and inclusion, and provides opportunities for professional growth and development.
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