6 ai model risk analyst jobs at 5 companies in Plainview, NY

2d
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Quant Risk Analyst
New York City, New York, United States
HybridFull Time
Polymarket
Polymarket: A decentralized platform for trading on real-world event outcomes.
Derivatives risk experience, quantitative model development, Python financial modeling, exchange mechanics, CFTC regulations, and ability to build risk solutions independently.
Python, AI tools
1w
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Equity Long/Short Risk Analyst
New York City, New York, United States
$150k-$200k/yr OnsiteFull Time
Verition
Verition: Global multi-strategy hedge fund providing investment management services.
4+ YOERequires 4–5 years of financial-sector risk management experience focused on equity markets, with Python and SQL proficiency, risk model familiarity, and strong communication skills.
Python, SQL, AI, Barra
2w
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Lead Analyst - Technology Strategy, Planning & Risk
Chicago or Los Angeles or Seattle or New York City
$116k-$145k/yr RemoteFull Time
Live Nation Entertainment
Live Nation EntertainmentNYSE: LYV: Promotes live concerts, operates entertainment venues, and sells tickets.
5+ YOE5+ years in strategy/BizOps/FP&A/consulting, strong financial modeling and data analysis, advanced Excel, capacity planning, influencing skills, clear communication, and interest in AI adoption.
Microsoft Excel
3w
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Sr. Quantitative Finance Analyst
Jersey City or Charlotte
$125k-$210k/yr OnsiteFull Time
Bank of America
Bank of AmericaNYSE: BAC: Provides global banking, investing, and financial risk management services.
8+ YOEAdvanced degree in economics/finance or related,8+ years macroeconomic scenario and stress-testing experience (CCAR,CECL,IFRS-9),model risk familiarity,strong communication,regulatory interaction,quantitative and AI-enabled analytics experience.
Tableau, SQL, Python, AI/ML
3w
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Sr. Quantitative Finance Analyst
Jersey City or Charlotte
$125k-$210k/yr OnsiteFull Time
Bank of America
Bank of AmericaNYSE: BAC: Provides banking, investment, and financial risk management services.
8+ YOEAdvanced degree in economics/finance or related, 8+ years macroeconomic/scenario or stress-testing experience, expertise with CCAR/CECL/IFRS-9, model risk governance, regulator interaction, strong communication and quantitative skills.
Tableau, SQL, Python, AI/ML
6d
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Let's begin! AVP-Ratings (Fund Finance) (14495)
New York City, New York, United States
$162k-$234k/yr OnsiteFull Time
Moody's
Moody'sNYSE: MCO: Provides credit ratings, financial research, and risk management software.
5+ YOERequires 5+ years of credit or risk assessment experience in fund finance, asset management, or structured finance; financial modeling, analytical, communication, and public speaking skills; and a finance or economics bachelor's degree.
Artificial Intelligence (AI)