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Vice President Model Risk Management Jobs in Arnold, MD

VP, Finance Growing, successful RE player is seeking an analytical, M&A-minded leader. The VP of ... modeling, refinancing analysis, and process management under CFO/sponsor direction Secondary ...

New

We're seeking someone to join our team as a Model Risk Control Specialist in Non-Financial Risk to ... At Morgan Stanley, we raise, manage and allocate capital for our clients - helping them reach their ...

Morgan Stanley is seeking a Vice President, Cyber, Technology and Information Security (CTIS) Risk ... At Morgan Stanley, we raise, manage and allocate capital for our clients - helping them reach their ...

Morgan Stanley is seeking a Vice President, Cyber, Technology and Information Security (CTIS) Risk ... At Morgan Stanley, we raise, manage and allocate capital for our clients - helping them reach their ...

Morgan Stanley is seeking a Vice President, Cyber, Technology and Information Security (CTIS) Risk ... At Morgan Stanley, we raise, manage and allocate capital for our clients - helping them reach their ...

Morgan Stanley is seeking a Vice President, Cyber, Technology and Information Security (CTIS) Risk ... At Morgan Stanley, we raise, manage and allocate capital for our clients - helping them reach their ...

Showing results 21-40

Vice President Model Risk Management information

See Arnold, MD salary details

$42.4K

$153.7K

$270.7K

How much do vice president model risk management jobs pay per year?

As of Sep 5, 2026, the average yearly pay for vice president model risk management in Arnold, MD is $153,654.00, according to ZipRecruiter salary data. Most workers in this role earn between $112,200.00 and $185,300.00 per year, depending on experience, location, and employer.

What is the difference between Vice President Model Risk Management vs Model Validation Analyst?

AspectVice President Model Risk ManagementModel Validation Analyst
CredentialsAdvanced degrees (e.g., MBA, PhD), certifications like FRM or CFABachelor's or Master's in finance, statistics, or related fields; certifications like FRM or CFA often preferred
Work EnvironmentStrategic leadership, cross-department collaboration, executive-level reportingAnalytical, detail-oriented work focused on model testing and validation
Employer & Industry UsageFinancial institutions, banks, asset managers, regulatory bodiesFinancial firms, risk management teams, model development groups

The Vice President Model Risk Management oversees the entire model risk framework, focusing on strategy, governance, and high-level risk assessment. In contrast, the Model Validation Analyst conducts detailed testing and validation of models to ensure accuracy and compliance. While both roles require strong quantitative skills and relevant certifications, the VP role is more strategic and managerial, whereas the analyst role is more technical and operational.

What does a Vice President Model Risk Management do?

A Vice President of Model Risk Management oversees the development, validation, and monitoring of financial models to ensure their accuracy and compliance with regulatory standards. They assess model risks, implement controls, and collaborate with teams to mitigate potential financial and operational impacts, often using tools like statistical software and risk management frameworks.

What are the most commonly searched types of Model Risk Management jobs in Arnold, MD?

The most popular types of Model Risk Management jobs in Arnold, MD are:

What job categories do people searching Vice President Model Risk Management jobs in Arnold, MD look for?

The top searched job categories for Vice President Model Risk Management jobs in Arnold, MD are:

What cities near Arnold, MD are hiring for Vice President Model Risk Management jobs?

Cities near Arnold, MD with the most Vice President Model Risk Management job openings:

Full-time

Posted 2 days ago

New


Cherry Bekaert rating

9.2

Company rating: 9.2 out of 10

Based on 7 frontline employees who took The Breakroom Quiz

2nd of 23 rated bookkeepers and accountants


Job description

VP, Finance
Growing, successful RE player is seeking an analytical, M&A-minded leader.
The VP of Finance will own debt capital markets execution and compliance, specifically diligence, documentation coordination, closing, covenant compliance, and lender reporting. The mandate is to execute at a level of quality and independence that allows the sponsor to step back from day-to-day process involvement; this requires someone lenders and sponsor deal teams immediately recognize as a peer.
Primary Responsibilities - Debt Capital Markets
  • Run lender processes post-term sheet through closing: data room build-out and management, diligence responses, third-party report coordination (appraisals, environmental, PCAs), legal documentation coordination with counsel, and closing checklists
  • Support term sheet negotiation with analysis: pricing comparisons, covenant sensitivity modeling, borrowing base scenarios, and structural mechanics review (sweep triggers, accordion terms, debt yield/DSCR tests)
  • Own ongoing covenant compliance, lender reporting packages, borrowing base certificates, and draw/reallocation requests across multiple facilities
  • Serve as day-to-day lender point of contact between transactions; maintain relationships with lender portfolio teams and debt broker/placement agents
  • Manage the debt stack across facilities: plan and sequence the migration of assets from bridge financing to permanent facilities, coordinate collateral transfers, releases, and substitutions to optimize proceeds and pricing, and maintain a forward calendar of maturities, extension tests, and refinancing windows
  • Execute debt workstreams for the planned recapitalization: capital structure modeling, refinancing analysis, and process management under CFO/sponsor direction

Secondary Responsibilities - FP&A, BOD, Reporting
  • Oversee FP&A: corporate model ownership, annual budgeting, quarterly reforecasting, and property-level NOI performance analysis across the portfolio
  • Prepare Board of Director materials, including quarterly board decks and sponsor reporting
  • Manage internal and external reporting cadence; support audit and GAAP reporting workstreams
  • Respond to ad hoc sponsor and investor requests with institutional-quality output and fast turnaround
  • Partner with the CFO on exit-readiness workstreams
Experience/Qualifications
  • 4+ years of experience
  • Experience in debt capital markets execution and compliance/diligence
  • BS/BA in Finance, Economics, Accounting, Business etc.
  • Real estate industry experience preferred
  • Exposure to private equity is helpful
  • Expert modeling skills
  • Ability to work hybrid (3 days) in Howard Co. HQ
Up to $200k + highly competitive bonuses
IND4

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