Model Risk Validation - Wealth Management Tools, Analyst
Morgan Stanley · mumbai, IN
FinanceBanking/Financemodel validationpythonstatisticsquantitative analysismachine learning
Join the Model Risk - Wealth Management Tools team as an Analyst. Responsibilities include independent review and validation of models, writing validation documents, and communicating results to internal and external stakeholders. A strong background in quantitative analysis and programming in Python is essential.