Morgan Stanley

Model Risk (Rates) (Risk Management) : Job Level - Vice President

Morgan Stanley • $120K — $210K *
Finance & Insurance
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • Master's degree or PhD in quantitative discipline or Finance.
  • Strong foundation in numerical methods, probability theory, and stochastic calculus.
  • Broad interest in financial markets with a drive to enhance models.
  • Risk-oriented mindset with effective prioritization skills.
  • Strong analytical and critical thinking abilities.
  • Excellent interpersonal and communication skills for diverse audiences.
  • Experience in managing and leading a global team.

Responsibilities

  • Understand the effectiveness of models within relevant Firm businesses.
  • Perform independent validation of complex pricing models for Fixed Income.
  • Evaluate model documentation against firmwide standards and policies.
  • Assess conceptual soundness and identify key assumptions of models.
  • Conduct quantitative testing and ensure robust performance monitoring.
  • Identify and escalate model risk themes, engaging with stakeholders for solutions.
  • Communicate review conclusions and track remediation actions.

Benefits

  • Access to a global network of financial centers.
  • Opportunities for professional development and growth.
  • Collaborative work environment with diverse teams.
  • Engagement with senior leaders and stakeholders.
  • Involvement in cutting-edge model risk management practices.
Full Job Description
Background on the Position
This role will reside within Firm Risk Management's Model Risk Management
team, which has global responsibility for the independent control, review, and validation of models used across the Firm. In addition to traditional quantitative methodologies, MRM also reviews models based on artificial intelligence and machine learning, including Generative AI solutions. This role is responsible for the validation of Rates, FX and Commodities derivatives pricing models and tools. This position requires strong risk management mindset, proven subject matter expertise in model development and validation, and excellent technical, leadership, and organizational skills.
MRM professionals are based in major financial centers worldwide, including New York, London, Budapest, Frankfurt, Mumbai, and Tokyo, and work closely with business units, capital and risk analytics teams, risk managers, and financial controllers. The New York team collaborates closely with colleagues across the global Model Risk Management organization on model related issues spanning all asset classes.

Primary Responsibilities
-Understand the use and effectiveness of models and tools within the context of relevant Firm businesses and processes.
-Perform independent model and tool validation of complex, state of the art pricing models used by Morgan Stanley's Fixed Income businesses - particularly within Rates, FX and Commodities Trading - for daily valuation and risk management.
-Evaluate whether model and tool documentation meet established firmwide standards and policy requirements, and whether model testing is sufficiently robust to assess model performance, limitations, and risks.
-Assess conceptual soundness and fitness for purpose of models and tools, ensuring that key assumptions and limitations are clearly identified, well understood, and appropriately controlled.
-Conduct independent quantitative testing and verify that ongoing model performance monitoring frameworks are adequate and consistently applied.
-Proactively identify, assess, and escalate thematic and idiosyncratic model and tool risk themes. Engage with 1LOD and 2LOD stakeholders to develop effective solutions to manage model and tool risks including evolving the model risk management practices such as performance monitoring and change management
-Communicate model and tool review conclusions to relevant stakeholders and work with relevant 1LOD and 2LOD functions to develop appropriate remedial actions to effectively resolve identified model and tool issues. Track progress against issue remediation actions and take appropriate review actions to resolve.
-Collaborate closely with a broad range of stakeholders - including developers, desk strategists, Market Risk, and Valuation Control - to ensure models and tools meet high standards of quality, governance, and implementation while supporting evolving business needs.
-Produce high quality model and tool review reports consistent with MRM standards and suitable for senior management and governance forums.
-Perform ad hoc and on demand analyses of model behavior, performance, and risk characteristics as required.
Manage book of work including distribution of work among team members, prioritization of focus areas, and challenging the status quo to improve efficiency, effectiveness, and value-addition to stakeholders and the Firm.
-Identify, quantify, and report on model risk issues including emerging and horizon risks in the context of business, Firm, market environment and changes. Provide timely notification, reporting, and escalation of model risk issues. Skills Required
-Masters degree or PhD in quantitative discipline or Finance, with a strong foundation in numerical methods, probability theory, stochastic calculus, and the practical application of quantitative models in finance.
-A genuine and broad interest in financial markets, combined with a strong internal drive to critically challenge, improve, and enhance models using a rigorous, quantitative, and practical mindset.
-Risk-oriented mindset including effective risk prioritization, critical and analytical questioning, and ability and willingness to speak up.
-Clear analytical and critical thinking, curious mindset, sound business judgment, resourcefulness and a proactive, collaborative approach to problem solving.
-Strong interpersonal and communication skills, with the ability to clearly articulate complex quantitative concepts to both technical and non-technical stakeholders, and ability to influence and effect change.
-Must be comfortable leading meetings and engaging with senior leaders in the Firm.
-Ability to be nimble, adaptive, and agile to work in a dynamic, fast-paced, high-pressure environment, managing multiple high-priority deliverables
-Experience managing and leading a global team

Expected base pay rates for the role will be between $120,000 and $210,000 year at the commencement of employment. However, base pay if hired will be determined on an individualized basis and is only part of the total compensation package, which, depending on the position, may also include commission earnings, incentive compensation, discretionary bonuses, other short and long-term incentive packages, and other Morgan Stanley sponsored benefit programs.

To learn more about our offices across the globe, please copy and paste https://www.morganstanley.com/about-us/global-offices into your browser.

About Morgan Stanley

Morgan Stanley Investment Management are active managers of capital, working to outperform the market and deliver results for their clients. Morgan Stanley Investment Management's long-tenured professionals apply their experience and expertise across public and private markets, in single-sector, multi-asset and custom solutions.

Morgan Stanley Careers

Joining Morgan Stanley today means becoming part of a global team dedicated to strengthening communities, pioneering innovation, and fostering diversity. As a leading global financial services firm, Morgan Stanley offers unparalleled job opportunities, career growth, and a culture of leadership that together create an exceptional employment experience. Work You’ll Do At Morgan Stanley, you will collaborate with knowledgeable professionals to drive innovation and deliver solutions in financial services. Our team is composed of diverse, talented individuals who bring their unique skills and perspectives to work every day, setting the standard for leadership in the global market. Morgan Stanley is not just a company; it's a place where ambitious, creative, and skilled individuals can build a rewarding career. Here, you can experience the benefits of a vibrant culture dedicated to professional growth and diversity training. Internship Programs Kickstart your career with Morgan Stanley’s internship programs. These positions offer invaluable industry insights and professional experience to students and recent graduates. Interns at Morgan Stanley gain hands-on experience, working alongside seasoned experts in a dynamic, supportive environment. Innovation and Professional Growth We believe in the power of innovation to solve complex problems and encourage our team to think differently and act boldly. Morgan Stanley supports your career development through comprehensive training, development programs, and leadership workshops, ensuring that every employee has the tools they need to succeed. Join Our Team Explore the various job opportunities at Morgan Stanley, from entry-level positions to executive roles. We are hiring individuals who are passionate about finance and eager to contribute to a team that values integrity, excellence, and a forward-thinking mindset. Enhance your skills through our networking events, mentorship opportunities, and ongoing professional development. Stay Connected Keep up to date with the latest from Morgan Stanley Careers by subscribing to our job alert emails. Tailor your preferences to receive updates about new postings, career tips, and exclusive insights from our team leaders. Apply Now Ready to take the next step in your career? Search open positions that match your skills and interests on the Morgan Stanley Jobs portal. Prepare your resume, refine your interview techniques, and join a company that values innovation and leadership. At Morgan Stanley, we’re not just building careers—we’re developing leaders. Discover how far your talents can take you by joining our team today.
Learn more about Morgan Stanley
Size
77,000 employees
Market Cap
$144.1 billion
Industry
Net Income
$10.9 billion
Founded
1935
5 Year Trend
+10%
Revenue
$52 billion
NASDAQ

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