Manager Capital Markets Financial Analysis
Core
Influence business decision-making by ensuring accurate business drivers are considered in financial or statistical analysis within the Capital Markets Solution (CMS) team.
Role type
Manager Capital Markets Financial Analysis
Builds
Financial models for complex quantitative and qualitative data to support investment alternatives and risk/return trade-offs.
Domain
Financial Services / Capital Markets
Deliverable
production ML models | product features
Required skills
quantitative analytic experience, financial modeling, data analysis, risk assessment, C++, Python
Preferred skills
statistical analysis, business operations knowledge, risk management, project management
Technologies
C++, Python
Responsibilities
Solve modeling issues and direct technical/analytic employees; assess risk/return trade-offs through evaluation of investment alternatives; present analysis results and recommendations to business managers and external parties; consult with senior leadership on risks for specific financial instruments; review risk-based transactions to ensure model accuracy and data integrity.
Seniority
Manager, hands-on IC with team leadership