Econometric Modeling & Forecasting Analyst

Integrated Financial Engineering Inc.

Rockville, Northern (MD, KY)

Hybrid

USD 70,000 - 110,000

Full time

18 hours ago
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Job summary

Integrated Financial Engineering, Inc. in Rockville, MD invites a full-time Financial Analyst to apply econometric and analytical tools to develop, validate, and enhance statistical models in finance and economics.

This role emphasizes data-driven decision making and teamwork. You will project how markets behave under varying conditions, test model accuracy, and collaborate on risk management, financial management, and capital market projects while maintaining clear communication with managers

Qualifications

  • This role requires a Master’s in economics, statistics, mathematics, finance, or related field, or a Bachelor’s with 2 years of experience.
  • Strong problem-solving and written/verbal communication skills are essential.
  • Experience with econometrics, statistics, data preparation and model estimation.

Responsibilities

  • Apply econometric and analytical tools to develop, validate, and enhance statistical and mathematical models in finance and economics.
  • Develop tests and standards to assess models' accuracy or predictive powers.
  • Collaborate on model development, risk management, financial management, and capital market projects for economic analysis, projection, and reporting.
  • Provide analytical support with managers and team members on projects.

Skills

Problem-solving
Written and verbal communication
Team collaboration

Education

Master's in Economics, Statistics, Mathematics, Finance, or related field
Bachelor's in related field with 2 years work experience

Tools

SAS
SQL
MATLAB
STATA
R
Java
C++
UNIX shell

Job description

Integrated Financial Engineering, Inc. in Rockville, MD invites a full-time Financial Analyst to apply econometric and analytical tools to develop, validate, and enhance statistical models in finance and economics.

This role emphasizes data-driven decision making and teamwork. You will project how markets behave under varying conditions, test model accuracy, and collaborate on risk management, financial management, and capital market projects while maintaining clear communication with managers

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