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Portfolio Risk VP-Financial Modeling/Database Programming
| Details |
Country: USA
Location: NJ Northern
Total applied: 21
Relevant Work Experience: 2+ to 5 Years
Career Level: Executive (SVP, VP, Department Head, etc)
Education Level: Bachelor's Degree
Job Type: Employee
Job Status: Full Time
Job Shift: First Shift (Day), Second Shift (Afternoon)
Salary: From 100,000.00 to 130,000.00 USD per year
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Portfolio Risk VP-Financial Modeling/Database Programming
Our client, a Major Investment Management firm with offices in Northern New Jersey, seeks a VP, Portfolio Risk Analyst for their Portfolio Strategy and Risk Analytics Group. This individual will have 2 + years? financial modeling and database programming experience at an investment bank, with some experience analyzing real estate investments. The firm is offering a starting salary up to $130K plus a bonus.
Major Responsibilities:
? Help in developing sophisticated portfolio analytic tools and models to assess portfolio risk
? Work with portfolio risk team to develop quantitative models, evaluating real estate property and portfolio performance
? Continually help develop the business and technical requirements to maintain and update financial modeling tools
Job Requirements:
? 2 + years? experience in investment banking as a Portfolio Risk Analyst-Risk Modeler and Database Programmer
? BA/BS, Mathematics, Financial Engineering, Finance or Accounting ? MBA a plus
? Excellent analytical, computer programming and creative report writing skills
? Strong knowledge of Visual Basic, SQL & Data Warehousing
? Knowledge of ETL, SML, Business Intelligence/Data Mining tools & OLAP technologies a plus
? Strong leadership skills, detail orientation and a team player
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