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SVP, Global Regulatory Modeling Project Manager - Hybrid

Job Req ID 23695972 Location(s) New York, New York; Wilmington, Delaware Job Type Hybrid Job Category Risk Management
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The Global Regulatory Modeling Project Manager reports to the Head of Global Regulatory Modeling and is responsible for managing the pipeline of model development projects for all Personal Banking and Wealth Management loss forecasting and stress testing models.  The role is part of the Global Regulatory Modeling group and supports 200+ models and ~20 portfolios globally.  The primary tasks for this role are to set up and manage the project plans, track the status of plan deliverables, and provide project updates to the Head of Global Regulatory Modeling and other stakeholders in the 1st and 2nd line groups. In addition to project management, this role also serves as the key liaison and coordinator within the regulatory modeling group for other related activities.

General responsibilities:

  • Coordinate with Model Sponsors, 2nd line review functions, Model Development, Model Implementation/Coding, and Monitoring Analytics groups to build project plans for developing, monitoring, and implementing loss forecasting and stress testing models globally.
  • Coordinate model development plans with upstream (Model Sponsor) and downstream (Model Implementation and Execution) teams to ensure alignment and overall success. 
  • Partner with the Governance and Control team to support capacity planning, project planning, and status tracking.
  • Coordinate Regulatory Modeling deliverables for Model Risk Management (MRM) limitations, Corrective Action Plans (CAPs), Independent Audit, or regulatory reviews. 
  • Key point of contact for all other requests within the global regulatory modeling group, including but not limited to collecting and consolidating model development records, space management, recurring meetings with stakeholder groups, and presentation preparation and editing.


  • Bachelor’s degree in business management, business analytics, or other technical fields in Risk Management, Economics, Finance, or Statistics.
  • 10+ years relevant experience in business, credit risk management, project management, or operational risk.  Advanced degree will count towards the years of experience.
  • Self-directed and motivated; ability to deal with imperfect information and drive to successful conclusion.
  • Ability to handle constant pressure and juggle multiple demands.
  • Demonstrated ability to work across organizational boundaries and geographies. Prior leadership experience handling competing demands and complex stakeholder networks strongly preferred.
  • Excellent organization skills; must be able to manage disparate tasks, project plans and ad-hoc requests.
  • Strong analytical, strategic thinking and communication skills - must have the ability to synthesize, develop and present clear and concise recommendations.
  • Prior team management experience preferred.
  • Highly proficient with Microsoft Products like Word, EXL, Power Point, Project, and Visio
  • Familiarity with Project Management software like Jira preferred.


Job Family Group:

Risk Management


Job Family:

Risk Analytics, Modeling, and Validation


Time Type:

Full time


Primary Location:

New York New York United States


Primary Location Salary Range:

$170,880.00 - $256,320.00


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