Job Description:
Primary Responsibilities
Engage with business unit managers to understand the models
Assess the effectiveness of controls to manage the model risk
Write model risk management findings in technical documents that will be presented both internally (model developers, business unit managers) as well as to regulators
Verbally communicate results and debate issues, and concerns with internal audiences including senior management
Qualifications
Possess Bachelors or Master’s Degree in finance or economics related areas
1-3 years’ experience within a Financial Institution or Consulting Firm.
Preferably in areas of internal audit/ operational risk/ model risk
Have exposure to and experience in financial markets, products and businesses
Have strong written and verbal communication skills; be comfortable debating issues and making formal presentations
Have desire to work in a dynamic, team-oriented environment focusing on concerning tasks mixing fundamental, quantitative and market-oriented knowledge and skills
Morgan Stanley is looking for Any Graduate profile candidates.
Short Job Information