How do they match: Financial Quantitative Analysts

  • Model Risk Manager
  • Model Validation Analyst
  • Predictive Modeler
  • Quantitative Model Analyst
  • Quantitative Model Validation Analyst
  • Quantitative Validation Model Analyst
  • Risk Model Auditor

  • Develop quantitative techniques to inform securities investing, equities investing, pricing, or valuation of financial instruments. Develop mathematical or statistical models for risk management, asset optimization, pricing, or relative value analysis.

  • Collaborate with product development teams to research, model, validate, or implement quantitative structured solutions for new or expanded markets.
  • Define or recommend model specifications or data collection methods.
  • Develop core analytical capabilities or model libraries, using advanced statistical, quantitative, or econometric techniques.
  • Devise or apply independent models or tools to help verify results of analytical systems.
  • Maintain or modify all financial analytic models in use.
  • Research or develop analytical tools to address issues such as portfolio construction or optimization, performance measurement, attribution, profit and loss measurement, or pricing models.

  • Apply mathematical models of financial or business conditions.