Quantitative Finance Analyst conducting quantitative analytics and modeling for risk types at Bank of America. Emphasizing model development, stress testing, and technical documentation.
Responsibilities
Conducts quantitative analytics and modeling projects for specific business units or risk types
Develops new models, analytic processes, or systems approaches
Creates technical documentation for related activities
Works with Technology staff in the design of systems to run models developed
Performs end-to-end market risk stress testing including scenario design, implementation, results consolidation, and analysis
Requirements
Master's or PhD in Math, Economics, Statistics, or similar discipline
Minimum 2 years relevant experience in statistics, data science, econometrics, and other quantitative analysis
First-hand experience in data analysis, statistical model estimation, implementation, and testing
Strong programming skills in Python, SQL, Pandas and NumPy
Quantitative documentation experience with LaTeX
Strong analytical and problem-solving skills
Effectively presents quantitative analysis to stakeholders.
Benefits
Access to paid time off
Industry-leading benefits
Resources and support for employees to make a genuine impact
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