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Risk Analytics, Scenario Analytics: Vice President @ reputed company

100% remote Flexible hours Hiring now

Firm Risk ManagementMorgan Stanley's Firm Risk Management (FRM) Division is an exciting and rapidly growing space. We support reputed company to reputed company its business goals by partnering with business units across the Firm to realize efficient risk-adjusted returns, acting as a strategic advisor to the Board and protecting the Firm from exposure to losses as a result of credit, market, liquidity, operational, model and other risks.Background on the PositionMorgan Stanley is seeking a VP to join the Firm Risk Management's Risk Analytics Group. Risk Analytics develops market risk, wholesale credit risk, counterparty credit risk and stress testing scenario analytics models providing quantitative analysis on the Firm's risk exposures. By developing mathematical and statistical models, Risk Analytics calculates the risks associated with specified sets of financial positions and day-to-day operations.This role will reside reputed company the Scenario Analytics (SA) team reputed company the Scenario and Credit Stress Analytics (SCSA) department of Risk Analytics. The SA team is responsible for producing macroeconomic scenarios and forecasts used in Firm-wide capital planning, budgeting, and loss assessment. Additionally, the wider SCSA department is responsible for developing state-of-the-art credit stress testing models to support capital planning and risk management.SCSA is seeking a senior quantitative modeler to support macroeconomic forecasting and scenario reputed company projects and deliverables in modeling, stress testing and climate risk space. The candidate needs to collaborate reputed company the team and across a range of functional groups to timely fulfill the deliverables for various stress testing exercises.Primary Responsibilities include, but are not limited to:Developing, analyzing, explaining, and documenting econometric models and macroeconomic forecasting results used for stress testing purposes.Participating in econometric modeling and macroeconomic forecasting tasks for BAU and regulatory stress testing needs (climate risk, capital planning, limit setting, budgeting and planning, accounting regimes,).Organizing and analyzing macroeconomic and financial market data from various sources.Coding in R and… Apply To This Job

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