Sr. Credit Risk Architecture/Reporting Risk Analys job in New York City, NY| Recruit Arrow
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Sr. Credit Risk Architecture/Reporting Risk Analys
Location : New York, New York City
Refer job # YFYR337549
Job Responsibilities and Requirements: This position will also involve exposure to other areas of ERM including Market Risk (ALM, Risk Charges, etc.) and Economic Capital Modeling teams, Investments Analytics and various other teams outside of North America, including Europe and Asia. Activities and responsibilities include the following, all in support of AIGs Insurance products & Investments portfolios: Extend and enhance existing processes being used with Moodys Risk Frontier, the Basel Credit Capital framework and other AIG systems for reporting and limits management. Work closely with ERM risk officers, analysts, the business units and quants to evaluate Credit Models and / or develop new Credit Model methodologies. Work closely with Reporting, Investments and Information Technology (IT) teams within AIG to enhance and operationalize risk calculations used in various analyses throughout ERM. Expand knowledge and expertise in industry best practices of Enterprise Risk Management. Participate in various risk management projects in support of CCAR, Investments, ALM, Market and Credit Risk Analytics teams. Position Requirements: The Ideal Candidate Will Have: 6 years work experience in a risk management oriented role in Banking, Insurance, Asset Management or Hedge Fund. Masters or higher degree in statistics, physics, mathematics, economics, computer science, quantitative finance or similar quantitative field. Working level knowledge of capital markets instruments and concepts. Basic knowledge of Insurance industry preferred. Ability to work with ERM Risk Officers, Quants and the front office in order to enhance and extend credit models and/or the methodologies for their use. CFA, FRM or equivalent. Exposure to credit related products including Derivatives & Structured Products and valuation models preferred. Understanding of credit risk, including associated models. Technology experience with Excel, SQL. Extensive programming experience with MATLAB, SAS or Python. Familiarity with third party credit risk applications such as Moody s Risk Frontier.
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