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Model Risk Management Validator

Model Risk Management Validator

Tiger AnalyticsBengaluru, Republic Of India, IN
11 days ago
Job description

The successful candidate will join the Model Risk Management and Validation Group (MRM&V).

performs independent analytical reviews and validations of all models .

Responsibilities :

Perform independent review and model validation of Artificial Intelligence and Machine

  • Learning (AI / ML) models;

Conduct model architecture review, theoretical soundness assessments and performance

  • evaluations;
  • Write validationreports containing / explaining the analyses performed and their results;
  • Present the reports and findings to various review / approval committees and to other

  • modeling teams;
  • Develop creativeapproaches to effectively communicate complicated concepts, model

  • validation results and analyses to stakeholders;
  • Participate in peer brainstorm review sessions and help other MRM&V members to solve

  • the problems they are facing;
  • work closely with cross-functional teams, including senior

    model validators, model developers, risk officers, and business units, to ensure models are

    effectively integrated into business decision-making processes.

    Represent Model Risk management team in the interactions with regulatory agencies.

    Work Location : Bangalore / Hyd / Chennai

    Qualifications

    2 or more years experiences in model development or validation.

    Familiar with essential quantities techniques used in financial models.

    Quantitative programming skill (e.G., SAS / SQL, Python, R, etc.).

    Knowledge with Machine Learning algorithm in model development or validation is a plus.

    Very good communication skills (both verbal and written) as well as solid project management

    skills and ability to multitask.

    Good business knowledge and familiarity with consumer / small business / commercial banking

    products, operation, and credit processes.

    Prior experience with developing or validating models such as stress testing, prepayment or

    profitability models will be a plus.

    Prior experience in delivering both written and verbal communications to a senior management

    audience and developing constructive relationships with a wide range of different stakeholders.

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    Risk Management • Bengaluru, Republic Of India, IN

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