Pioneer innovative model validation strategies within a global team, ensuring robust risk management and compliance for complex pricing models in Rates, FX, and Commodities. Collaborate with stakeholders to enhance model performance and governance.
Join a team that inspires transformation, leading complex real estate programs to optimize workplace solutions and enhance collaboration, while maintaining governance and strategic alignment across multiple initiatives.
Develop and implement quantitative market risk models to assess equity exposure, utilizing advanced statistical techniques and collaborating across teams to enhance risk management frameworks and ensure compliance with regulatory standards.
Lead the charge in sourcing and commercial management of mainframe software and hardware portfolios, overseeing complex negotiations while collaborating with senior stakeholders to drive strategic supplier governance and achieve measurable outcomes.
Develop and execute a strategic analytics framework to enhance client engagement and financial planning effectiveness, leveraging data-driven insights and advanced analytics to drive measurable business outcomes across Wealth Management.