Description
Position Overview
The Manager will oversee financial-risk frameworks and model-governance activities across technology-enabled financial products. The position combines quantitative risk management, model oversight, financial analytics, governance, controls, and fintech operations.
The successful candidate will help ensure that analytical and financial models used across digital financial services are appropriately designed, documented, monitored, validated, and governed. The role requires close collaboration with data scientists, engineers, product teams, finance, compliance, and senior management.
Key Responsibilities
- Develop and maintain financial-risk and model-governance frameworks.
- Establish standards for model development, validation, documentation, monitoring, and review.
- Assess risks associated with credit, fraud, liquidity, financial performance, and operational models.
- Review quantitative methodologies used across fintech products.
- Monitor model performance and identify deterioration, anomalies, or unexpected outcomes.
- Coordinate independent model-validation and quality-assurance activities.
- Develop risk dashboards and management information for senior stakeholders.
- Establish appropriate controls around financial data and analytical models.
- Work with data scientists and engineers to improve model governance processes.
- Assess risks associated with AI and machine-learning models used in financial services.
- Develop scenario analysis and stress-testing methodologies.
- Support risk assessments for new fintech products and technology implementations.
- Prepare risk reports, governance documentation, and remediation plans.
- Monitor emerging developments in financial-risk technology.
- Promote data-driven risk management across the organization.
Preferred Expertise
- Financial risk management
- Model risk
- Quantitative analysis
- Model validation
- Risk analytics
- Financial modeling
- AI/ML governance
- Data governance
- Fintech
- Financial services
Candidate Profile
The ideal candidate should have experience in financial risk, quantitative analysis, banking, fintech, model governance, financial analytics, or risk consulting. Strong mathematical reasoning, analytical skills, and experience working with complex financial models are highly desirable.
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