Lead, Interest Rate Risk Modeling & Forecasting

Raymond James

Saint Petersburg (FL)

Hybrid

USD 120,000 - 190,000

Full time

14 days+
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Job summary

Raymond James is seeking a Senior Financial Analyst to support its interest rate risk modeling and related analyses. The role focuses on enhancing risk models, back-testing, and timely result preparation for management and board review.

The successful candidate will be a self-starter, capable of meeting tight deadlines, and adept at solving complex problems while collaborating with Risk, Finance, and regulatory teams. Hybrid work out of St. Pete, FL is offered.

Qualifications

  • Bachelor’s Degree, preferably in Finance or related field, with 5+ years of experience.
  • Bank Holding Company experience preferred.
  • Experience with Empyrean, QRM or other asset/liability modeling software.
  • Equivalent combination of experience or education may be considered.

Responsibilities

  • Assist with planning and executing strategic initiatives on interest rate risk.
  • Oversee model execution and deliver timely analyses and reports.
  • Prepare analyses for RJF Board and management committees.
  • Assist Risk Management, Internal Audit, regulators as needed.
  • Identify process improvements to increase efficiency and train others.

Skills

Financial analysis
Strategic thinking
Leadership
Effective communication

Education

Bachelor’s: Finance
Bachelor’s: Accounting
Bachelor’s: Business Administration

Tools

Empyrean
QRM
Excel

Job description

Raymond James is seeking a Senior Financial Analyst to support its interest rate risk modeling and related analyses. The role focuses on enhancing risk models, back-testing, and timely result preparation for management and board review.

The successful candidate will be a self-starter, capable of meeting tight deadlines, and adept at solving complex problems while collaborating with Risk, Finance, and regulatory teams. Hybrid work out of St. Pete, FL is offered.

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