Model Risk Manager
A.I Projects - Large Language Models LLM
- Please note, initially scheduled until the end of 2024 however this will extend for a further 6 or 12 months.
- Inside IR35 / Hybrid/ central London
Purpose: Oversee model risk in finance and treasury functions, ensuring the reliability of financial models.
Key Responsibilities:
- Manage stress testing for loss, revenue, capital, and liquidity.
- Engage in AI projects like model validation and AI security testing.
- Conduct risk reviews across reserving, stress testing, ICAAP, and ILAAP.
- Collaborate with stakeholders to enhance professional growth**.**
Skills:
- Expertise in financial modeling, CECL, IFRS 9.
- Deep knowledge of financial risks (solvency, liquidity).
- Experience in regulatory submissions and disclosures.
Experience: 5+ years in financial institutions; advanced degree in statistics, math, finance, or economics.