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Quantitative Analyst Jobs In Asset Management

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Search results: 1 - 10 of 13

Credit Loss Mitigation Analyst - Quantitative Operations Manager : 1200004809 (1200004809)

44%

Bank of America. Charlotte

Specific Description and Responsibilities The Credit Loss Mitigation Strategy Team is responsible for leading detailed analytical business efforts and executive presentation for the purposes of program and financial optimization within the LAS organization. The team is highly collaborative and focused on enhancing guidance by developing analysis tools in order to.

Sector Asset Management
Sub Sector Other
Region/Country Americas, United States

Senior Business Systems Analyst (obeJ9A0AhYu6)

23%

IXIS. Boston

Information Technology | Boston, MA, United States Job Purpose: Aides and supports Portfolio Research and Consulting department personnel by solving organizational information and technical problems and by analyzing requirements; designing solutions; recommending system controls and procedures. Primary Responsibilities Implement and validate the technology platform for the Portfolio Research and Consulting.

Sector Asset Management
Sub Sector Generalist Consulting
Region/Country Americas, United States

Quantitative Finance Analyst-Enterprise Capital Mgmt. : 1200006542 (1200006542)

38%

Bank of America. NEW YORK

Specific Job Description The primary responsibility of Capital Reporting and Analytics/Enterprise Capital Management team is to maintain, and communicate the results of the Bank's economic capital models. These models estimate the capital required by the risks of the Bank's activities. Economic capital is the basis used to calculate Risk Adjusted.

Sector Asset Management
Sub Sector Other
Region/Country Americas, United States

Quantitative Finance Analyst - Wholesale : 1100057558 (1100057558)

45%

Bank of America. Charlotte

Specific Description The primary responsibility of Capital Reporting and Analytics/Enterprise Capital Management team is to maintain, and communicate the results of the Bank's economic capital models. These models estimate the capital required by the risks of the Bank's activities. Economic capital is the basis used to calculate Risk Adjusted Return.

Sector Asset Management
Sub Sector Other
Region/Country Americas, United States

CIG Quantitative Analyst : 1100067738 (1100067738)

100%

Bank of America. ATLANTA

The Corporate Investment Group (CIG) within Bank of America is seeking a quantitative analyst to join our Quantitative Finance team... CIG uses quantitative techniques extensively, and is staffed by mathematicians, statisticians, economists, traders and programmers that apply quantitative methods to management of Bank of America's investment portfolio... CIG designs and.

Sector Asset Management
Sub Sector Other
Region/Country Americas, United States

Senior Audit Consultant (Model Risk) : 1200006519 (1200006519)

45%

Bank of America. Calabasas

The model risk team in Corporate Audit seeks a senior quantitative analyst for the position of Senior Audit Consultant... The mission of the team is to carry out the internal audit responsibilities of the FRB/OCC supervisory guidance on model risk management (OCC 2011-12) for the entire Bank. This encompasses all.

Sector Asset Management
Sub Sector Other
Region/Country Americas, United States

Director, Quantitative Investment Analytics : 1200000186 (1200000186)

56%

Bank of America. NEW YORK

Global Wealth & Retirement Solutions ("GWRS") develops and manages wealth management, investment management & retirement management solutions for our high net worth clients. The IMG Investment Analytics group is part of the Global Wealth & Retirement Solutions group at Merrill Lynch Global Wealth Management and develops and manages investment solutions.

Sector Asset Management
Sub Sector Other
Region/Country Americas, United States

Quantitative Finance Analyst : 1200006938 (1200006938)

22%

Bank of America. Charlotte

Specific Responsibilities Responsible for developing quantitative/analytic models and applications in support of the firm's enterprise consumer credit risk management effort... Responsible for creation of analytical methods to assess consumer credit risk of new and existing financial products. Staff in this role would be responsible for assessing, measuring, and monitoring standardized.

Sector Asset Management
Sub Sector Other
Region/Country Americas, United States

Lead Risk Consultant (2012-1254)

45%

Algorithmics. London

Overview Algo Risk Service The Algo Risk Service (ARS) offers risk managers, portfolio managers, traders, and quantitative analysts a robust risk management and portfolio modelling environment to monitor, manage, and optimize risk across all asset classes and investment strategies... Hosted by Algorithmics and delivered over the World Wide Web, Algo.

Sector Asset Management
Sub Sector Unspecified
Region/Country Europe, UK

Senior Risk Consultant ARS London (2011-1245)

44%

Algorithmics. London

Overview Algo Risk Service (ARS) offers risk managers, portfolio managers, traders, and quantitative analysts a robust risk management and portfolio modelling environment to monitor, manage, and optimize risk across all asset classes and investment strategies... Hosted by Algorithmics and delivered over the internet, ARS provides access to state-of-the-art risk measurement.

Sector Asset Management
Sub Sector Unspecified
Region/Country Europe, UK
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