16 quantitative risk analyst jobs at 9 companies in Oaklyn, NJ
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Fixed Income Investment Risk Analyst
Malvern, Pennsylvania, United States
HybridFull Time
Vanguard: Global investment management firm owned by its client funds.
3+ YOEThree or more years of related experience, an undergraduate degree or equivalent training and experience, and quantitative investment risk knowledge. CFA or FRM progress preferred.
Credit Risk Model Development Quantitative Analyst II - Consumer Portfolio (Hybrid - see job description for potential work locations)
Buffalo or Washington or Baltimore or Iselin or Wilmington or New York City or Bridgeport
$72k-$119k/yrHybridFull Time
M&T BankNYSE: MTB: A diversified financial services providing banking and wealth management.
1+ YOEBachelor's or equivalent experience and minimum 1 year quantitative behavioral modeling experience; strong Python, SQL, and statistical software skills; experience with model development, econometrics, and communicating analytical results.
SAS, Python, Stata, R, SQL, SQL Server Management Studio
Credit Risk Model Development Quantitative Analyst II - Consumer Portfolio (Hybrid - see job description for potential work locations)
Buffalo or Baltimore or Wilmington or New York City or Washington or Bridgeport
$72k-$119k/yrHybridFull Time
M&T BankNYSE: MTB: A diversified financial services providing banking and wealth management.
1+ YOEBachelor's (or equivalent experience) and 1+ year quantitative behavioral modeling experience; strong Python and SQL skills; experience with SAS/Stata/R; model development and econometric/statistical techniques; data analysis and clear communication.
SAS, Python, Stata, R, SQL, Microsoft SQL Server Management Studio
Credit Risk Model Development Quantitative Analyst II - Consumer Portfolio (Hybrid - see job description for potential work locations)
Buffalo or Baltimore or Wilmington or New York City or Washington or Bridgeport
$72k-$119k/yrHybridFull Time
M&T BankNYSE: MTB: A diversified financial services providing banking and wealth management.
1+ YOEBachelor's degree or equivalent experience and 1+ year quantitative behavioral modeling experience; strong Python and statistical software (SAS, Stata, R) skills; SQL experience; model development and regression expertise; strong communication.
SAS, Python, Stata, R, SQL Server Management Studio, Structured Query Language (SQL)
Transaction Risk Platform & Strategy Analyst-Consumer and Small Business Credit (Merchant)
Charlotte or Newark or Phoenix or Newark or Phoenix
OnsiteFull Time
Bank of AmericaNYSE: BAC: Global financial services and banking institution.
3+ YOERequires 3 years of experience, analytical and problem-solving skills, data, systems, or testing experience, automation and scripting success, strong communication, and process optimization skills. Bachelor's degree in a quantitative or technical field is preferred.
OceanFirst BankNASDAQ: OCFC: New Jersey-based community bank serving individuals and businesses with deposits, lending, treasury, trust, and digital banking.
5+ YOEBachelor's degree in a quantitative or related field and 5+ years in banking or financial services with operational and model risk management experience; IT risk or data analysis preferred.
Microsoft Office, Microsoft Visio, Governance, Risk and Compliance (GRC), Artificial Intelligence (AI), Machine Learning (ML)
Lincoln Financial GroupNYSE: LNC: Public financial services providing annuities, life insurance, group protection, and retirement services to individuals and employers.
3+ YOEBachelor's degree or equivalent experience; 3+ years in AI/ML risk management, model risk, data science, or related quantitative field. Experience with bias testing, impact assessments, AI governance, monitoring, and translating technical findings for stakeholders.
AtlanticusNASDAQ: ATLC: Public fintech helping U.S. banks provide credit cards, consumer loans, healthcare financing, and auto financing to underserved consumers.
4+ YOEBachelor’s degree in a quantitative field and 4–6 years in financial analytics, consulting, or strategy. Requires SQL, Excel, credit card modeling, quantitative problem-solving, and stakeholder communication skills.
SQL, Microsoft Excel, Python, R, Tableau, Microsoft Power BI
Atlanticus Services CorporationNASDAQ: ATLC: Public fintech helping U.S. banks provide credit cards, consumer loans, healthcare financing, and auto financing to underserved consumers.
4+ YOEBachelor’s degree in a quantitative field, 4–6 years of financial analytics, consulting, or strategy experience, and proficiency in SQL and Excel; credit card modeling experience required.
SQL, Microsoft Excel, Python, R, Tableau, Power BI
Portfolio Construction Analyst (Fixed Income & Portfolio Risk Analysis)
Philadelphia, Pennsylvania, United States
$120k-$160k/yrHybridFull Time
Brandywine GlobalNYSE: BEN: Global investment management firm providing diversified asset and wealth management services.
3+ YOE3+ years fixed income/portfolio construction or quantitative risk experience; bachelor's in a quantitative field; strong programming (Python, R, MATLAB, SQL); experience with portfolio analytics, derivatives, volatility research, and communication skills.
Transaction Risk Platform & Strategy Analyst-Consumer and Small Business Credit (Merchant)
Charlotte or Newark or Phoenix
OnsiteFull Time
Bank of AmericaNYSE: BAC: Global financial services and banking institution.
Analytical experience with data, systems, or testing environments; automation, scripting, process optimization, and strong documentation skills. Bachelor’s degree in a quantitative or technical field preferred; high school diploma required.
Senior HealthCare Analyst, Risk Adjustment - Jefferson Health Plan
Philadelphia, Pennsylvania, United States
OnsiteFull Time
Jefferson Health Plans: Integrated health care and higher education system.
5+ YOEBachelor's in a quantitative field (or equivalent) and 5+ years healthcare analytics experience with claims/membership data; proficiency in SQL and Python or R; experience building dashboards (Power BI/Tableau/Qlik); knowledge of risk-adjustment, coding, and cloud platforms.
Vanguard: Global investment management firm owned by its client funds.
4+ YOERequires 4+ years in fraud, payments risk, or financial crimes; expertise in fraud risks and decisioning; strong analytics and cross-functional collaboration; bachelor's degree in a quantitative or business field.
Vanguard: Global investment management firm owned by its client funds.
4+ YOE4+ years fraud/payments risk experience, expertise in real-time decisioning and fraud rules, strong analytics and communication skills, Bachelor's in quantitative field (Master's preferred), experience with Python/R/SAS/SQL and Tableau/Power BI.
Senior Credit Strategy Analyst - Home Secured/Super Prime UW
Wilmington, Delaware, United States
RemoteFull Time, Temporary
Best Egg: Online personal-loan platform serving consumers with financial tools to help them manage money confidently.
5+ YOE5+ years in analytical roles; degree in statistics/mathematics/engineering or quantitative field; proficient in Python/SQL; credit risk experience; strong analytics and communication.