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    Manager Model Risk Management - Kraków, Polska - Hsbc Service Delivery

    Hsbc Service Delivery
    Default job background
    W pełnym wymiarze godzin
    Opis

    Technologies-expected : R Python SAS Matlab C++ SQL about-project : Do you have analytical mind and like to solve quantitative problems? Can you extract statistical insights from the data? Would you like to work in an international and supportive environment, and to learn industry best practices in one of the world's largest banks? Well, then your best match could be the Model Risk Management Team at HSBC Krakow The Model Risk Management is an international team consisting of Model Risk Stewards, Model Risk Governance and Independent Model Review.

    Independent Model Review (IMR) is a specialist quantitative group which aims at independently validating HSBC's models.

    We have roles on different levels of experience ranging from entry-level positions for graduates to seasoned professionals.


    We encourage you to apply regardless of your experience in quantitative model validation, we might just have the right fit for you responsibilities : Perform independent model validations as part of a specialist quantitative team within HSBC Model Risk Management department, called Independent Model Review.


    Conduct quantitative and qualitative research with focus on model data, design, performance and implementation for one of our functional streams.

    We cover various types of models including credit risk models (e.g.

    IRB, IFRS9, Stress Testing, Economic Capital, application and behavioural.

    scorecards), climate risk models, as well as market risk models (e.g.

    Va R, IRC, RNIV, Exposure at Default, CCR RWA, pricing models, algorithmic trading models, ALCM models, Valuation models).

    Assess quantitative or expert-based models to identify their assumptions and limitations.

    Formulate opinions about conceptual soundness of models' design and their adequacy for intended usage.

    This includes quantification of model risk drivers and assessment of their impact on the model credibility.


    requirements-expected : Academic degree (MSc or Ph D), good fits are: Statistics, Mathematics, Physics, Econometrics, Quantitative Finance, or related fields.

    Programming skills knowledge of one of the following: R, Python, SAS, Matlab, C++, or SQL.

    Good written and verbal communication skills in English.

    Experience in independent model validation, model building and/or quantitative research (for the more senior roles).

    Professional qualifications (e.g.

    PRM, FRM, CQF) are beneficial.

    offered :
    Competitive salary Annual performance-based bonus Additional bonuses for recognition awards Multisport card Private medical care Life insurance One-time reimbursement of home office set-up (up to 800 PLN)

    Corporate parties & events CSR initiatives Nursery discounts Financial support with trainings and education Social fund Flexible working hours Free parking benefits :
    sharing the costs of sports activities private medical care sharing the costs of professional training & courses life insurance flexible working time integration events corporate sports team doctor's duty hours in the office retirement pension plan corporate library no dress code video games at work coffee / tea parking space for employees leisure zone extra social benefits employee referral program opportunity to obtain permits and licenses charity initiatives family picnics extra leave


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