Model Risk Manager - Remote Consulting Leader

Crowe

Tampa (FL)

On-site

USD 146,852,000 - 300,151,000

Full time

15 hours ago
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Job summary

Crowe seeks a Model Risk Manager to lead consulting engagements for financial services clients, focusing on model risk management, validation, and governance. You will supervise teams, manage projects from planning to delivery, and build trusted client relationships.

The role requires 5+ years in financial institutions or regulatory supervision, expertise in credit risk models and data analytics, and strong communication. Travel up to 25% may be required.

Qualifications

  • Bachelor's degree in Finance, Statistics, Financial Engineering, or Economics or equivalent.
  • 5+ years in financial institutions, Big 4, or regulatory supervision.
  • Knowledge of SR 11-7, OCC 2011-12, FDIC FIL-22-2017.
  • Experience in model risk management, validation, or development.
  • Data processing, storage, and visualization expertise.
  • Proficiency in SAS, Matlab, Stata, Python, and R; SQL experience.
  • Power BI/Tableau/QlikView experience; certifications preferred.

Responsibilities

  • Lead consulting projects from planning to delivery for financial clients.
  • Supervise and review work of other consultants; develop client relationships.
  • Provide recommendations, solvable client problems, and value-driven deliverables.
  • Support proposals, business development, and account strategy.
  • Stay current on industry trends and develop new services.

Skills

Model risk management
Credit risk models
Data visualization
Back testing
Stress testing
Python
SQL
Power BI
R
SAS

Education

Bachelor's degree in Finance/Statistics/Financial Engineering/Economics
Graduate degree a plus

Tools

SAS
Matlab
Stata
Python
R
SQL
Power BI
Tableau
QlikView

Job description

Crowe seeks a Model Risk Manager to lead consulting engagements for financial services clients, focusing on model risk management, validation, and governance. You will supervise teams, manage projects from planning to delivery, and build trusted client relationships.

The role requires 5+ years in financial institutions or regulatory supervision, expertise in credit risk models and data analytics, and strong communication. Travel up to 25% may be required.

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