Senior Macroeconomic Data & Forecasting Specialist

BNY Mellon

Pittsburgh (Allegheny County)

On-site

USD 90,000 - 130,000

Full time

7 days ago
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Job summary

BNY Mellon is seeking a Senior Specialist, Data Management to join the Economic Forecasting team in Pittsburgh, PA or Lake Mary, FL. You will manage macroeconomic and financial data, maintain datasets, and support model development by coordinating with modelers and risk teams.

The role emphasizes accuracy, timeliness, and cross functional communication with Finance, Treasury, and Model Risk Management. A master’s degree and 2+ years in forecasting are preferred, with R or Python skills a plus.

Qualifications

  • Strong quantitative skills with ability to synthesize large data sets.
  • 2+ years of work experience in research/forecasting for financial institutions or similar.
  • Excellent organizational and communication skills.
  • Proven track record of delivering on deadlines under pressure.
  • Ability to collaborate with multiple teams and stakeholders.
  • Experience interacting with modelers and risk management teams.

Responsibilities

  • Responsible for managing macroeconomic and financial data.
  • Update data sets, review revisions for accuracy, and document procedures.
  • Support model development by working with model developers.
  • Collaborate with vendors and forecasting partners across the company.
  • Assist in handling inbound questions and ad hoc deliverables with timeliness.
  • Interact with downstream modelers and various bank teams to gather requirements.

Skills

Data management

Education

Master's degree in quantitative field

Tools

R
Python

Job description

BNY Mellon is seeking a Senior Specialist, Data Management to join the Economic Forecasting team in Pittsburgh, PA or Lake Mary, FL. You will manage macroeconomic and financial data, maintain datasets, and support model development by coordinating with modelers and risk teams.

The role emphasizes accuracy, timeliness, and cross functional communication with Finance, Treasury, and Model Risk Management. A master’s degree and 2+ years in forecasting are preferred, with R or Python skills a plus.

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