Responsible for pricing and risk strategies for the bank. Build out testing strategies, valuation structures, etc. Analyze historical loan data, develop risk scorecards and test hypotheses. Use SQL, SAS/R/Python and A/B test and control methodologies.
Bachelor’s degree in Finance, Financial Engineering, Analytics or related field of study. Requires 1 year of experience or post-bachelor’s degree in risk analysis or data analytics; experience or education must include some use of SQL, A/B test and control methodologies and either SAS or R or Python.
Remote work permissible