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Quantitative Risk Management Senior Associate
Job in
Northern, Floyd County, Kentucky, USA
Listed on 2026-10-05
Listing for:
Nuveen
Full Time
position Listed on 2026-10-05
Job specializations:
-
Finance & Banking
Financial Analyst, Financial Reporting
Job Description & How to Apply Below
Hybrid Flex locations:
Dallas, TX, USA:
Charlotte, NC, USA:
Iselin, NJ, USA:
New York, NY, USAtime type:
Full time posted on:
Posted Yesterday time left to apply:
End Date:
October 15, 2026 (11 days left to apply) job requisition Quantitative Risk Management Senior Associate delivers end-to-end risk solutions for Financial Risk Managers, from data analysis, model review/development and reporting. The role combines deep risk domain expertise with modern technical capabilities to build, validate, and operationalize solutions that support the organization's efforts to identify and manage risk.
** Key Responsibilities and Duties
*** Build/Maintain end-to-end quantitative risk solutions for Financial Risk Managers, spanning data sourcing and analysis, model review/development, and reporting.
* Design and deliver dashboards and reporting to give Financial Risk Managers clear, actionable visibility into risk metrics and exposures.
* Engage independently with the Investment Risk team as a trusted SME.
* Applies strong technical proficiency, including experience with AI and Generative AI technologies, to help modernize and automate analytical workflows.
** Educational Requirements
*** University (Degree) Preferred
** Work Experience
*** 3+ Years Required; 5+ Years Preferred
** Physical Requirements
**
* Physical Requirements:
Sedentary Work
** Career Level
** 7IC
* * Preferred
Skills:
**- Proficiency in SQL for data extraction and manipulation.
- Fluency in Python for quantitative modeling, data analysis, and automation, including core libraries such as pandas, Num Py, and scikit-learn.
- Strong technical proficiency, including experience with AI and Generative AI technologies to support the modernization and automation of analytical workflows.
- Demonstrated ability to build and validate models (internal and vendor), analyze large data sets, and develop dashboards and reporting for risk stakeholders.
Related Skills Advanced Mathematics, Communication, Critical Thinking, Data Analysis, Financial Acumen, Financial Modeling, Market/Industry Dynamics, Model Validation, Prioritizes Effectively, Problem Solving, Programming, Quantitative Analysis, Statistics
** Anticipated Posting End Date:
** Base Pay Range: $86,100/yr - $129,000/yr Actual base salary may vary based upon, but not limited to, relevant experience, time in role, base salary of internal peers, prior performance, business sector, and geographic location. In addition to base salary, the competitive compensation package may include, depending on the role, participation in an incentive program linked to performance (for example, annual discretionary incentive programs, non-annual sales incentive plans, or other non-annual incentive plans).
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** Company Overview
** Every worker deserves a secure retirement. For more than 100 years, TIAA has delivered it for millions of people. Founded to help educators retire with dignity, today we[ʼ]re a market-leading retirement company fueled by world-class asset management. But we[ʼ]re not just another legacy financial services firm. We[ʼ]re fighting harder than ever before for our clients and the many Americans who need us.
** Our Culture of Impact
** At TIAA, we're on a mission to build on our 100+ year legacy of delivering for our clients while evolving to meet tomorrow's challenges. We equip our associates with future-focused skills and AI tools that enable us to advance our mission. Together, we are fighting…
Position Requirements
10+ Years
work experience
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