VP; Corp Inv Portfolio Analyst sought by Bank of America N.A. to assist with risk management & trading activities for the Corporate Investments Group portfolio. Optimize portfolios to meet risk appetite, management objectives, regulatory constraints, balance sheet, & earnings goals. Remote work may be permitted within a commutable distance from the worksite.
Requirements: Master's or equivalent & 3 yrs exp. in: Performing quantitative modeling by utilizing advanced quantitative techniques & tools of statistical analysis, predictive modeling, linear regressions, & Machine Learning; Utilizing Python & SQL to conduct data analysis, estimate model coefficients, & aggregate the model results to generate comprehensive model outputs.
Job Site: Charlotte, NC. Req# 26009497. If interested apply online at www.bankofamerica.com/careers or email your resume to [email protected] & reference the job title of the role & requisition number. No phone calls. EOE.
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