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Requirements: Requires a Master’s degree, or foreign equivalent, in Statistics, Financial Engineering, Economics, Mathematics, or related field and 2 years of experience as a Model Governance Analyst, Model/Analysis/Validation Analyst, Business Analyst, or related position involving fair lending and credit risk management for the financial services industry. Alternatively, employer will accept a Bachelor’s degree in the specified fields and 5 years of progressive, post-baccalaureate experience in the above positions. 2 years of experience must include: Credit risk management; Fair lending rules and practices; Quantitative analysis and modeling for decision models, policy strategies, segmentation, decision tree, machine learning, time series, and optimization; Model risk management; SAS, SQL, and R; and UNIX. Applicants submit resumes at https://jobs.citi.com/. Please reference Job ID #25839489. EO Employer.
Wage Range: $162,200 to $200,000
Full timeNew York New York United States
Anticipated Posting Close Date:
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