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Wealth Management Credit Analytics: Stress Testing Associate, New York, NY

Morgan Stanley
20 April 2021 Years
1656
Section: Finance, Accounting, Banking
Vacant position: Wealth Management Credit Analytics: Stress Testing Associate, New York, NY
Organization: Morgan Stanley
District: Manhattan
Education: Incomplete schooling
Work experience: Without experience
Work schedule: Full time work day
Requirements for applicants:

The ideal candidate will demonstrate strong analytical skills as well as the ability to work within a team environment and manage to tight deadlines.

Qualifications:

Bachelor’s Degree required.

Previous analytics, credit capital or credit loss modeling experience, preferably for Wealth Management and/or Lending portfolios.

Excellent verbal and written communication, with ability to communicate effectively with senior management and regulators.

Process management and prioritization skills with ability to multi-task in a dynamic environment.

Strong relationship building and client management skills.

Self-motivated and proactive attitude, with relentless attention to detail.

Strong problem solving and implementation skills.

Duties:

You will collaborate with colleagues across FRM and the Firm to protect the Firm’s capital base and franchise, advise businesses and clients on risk mitigating strategies, develop tools and methodologies to analyze and monitor risk, contribute to key regulatory initiatives and report on risk exposures and metrics to enable informed and strategic decision-making. Through thoughtful analysis and clear communication we are best able to bring our ideas to the table and improve the Firm.

Credit Risk Management (CRM) evaluates credit risk transactions and approves, rejects or modifies them considering the availability and appropriateness of arrangements for reducing risk or risk mitigation. The department also assigns Internal Credit Ratings; establishes and manages credit risk limits in accordance with the risk tolerance established by the Board; monitors and reports on credit risk exposures on a regular basis to the Chief Risk Officer and senior management. CRM also interacts with business units to ensure that credit risk assessments are factored into business decisions.

Primary job responsibilities include:

Perform portfolio level analytics, including CCAR/DFAST and business as usual stress testing, as well as ACL reserve and Basel Capital calculations for Wealth Management retail and wholesale lending products.

Work with Credit Risk Methodology Group and Credit Risk Coverage to develop and enhance stress testing methodologies and modeling.

Perform business analytics for partners in Credit Risk Coverage and the Wealth Management business unit on an ongoing and ad hoc basis.

Work with stakeholders across Risk, Finance and IT on projects improving process and data flows and automating stress testing.

Produce documentation and presentations to effectively communicate key information to senior management and regulators.

Develop methods and tools to streamline and increase efficiencies of various work streams

Working conditions:

Employment type: Full Time.

Job level: Associate.

Phone: +1 212-245-1239
Additional contacts: 1585 Broadway New York, NY 10036
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