Financial Economist, Fannie Mae, Washington DC. Apply advanced fin or econ analytical methods & models to valuation of assets, projection of pricing or risk under econ scenarios. Use Enterprise Risk Mgt principles/practices to dev & quantify strategies for mortgage-based assets portfolio mgt & risk mgt. Assess prospective econ & capital reqmts for portfolio. Devel or provide guidance to devt of comp apps that perform analyses. Perform econ capital analysis, and other fin analysis to support strategic or risk mgt decisions. Req'd: Master's of Finance or Econ w/ coursework, RS or exp analyzing large datasets w/ SAS, SQL or other stat tools. Basic knowl. of fixed income mkt & strong comm skills reqd. Apply at fanniemae.com/careers job no. 54638.