Full-Time Market Risk jobs

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VP- MARKET RISK, CORPORATE & INVESTMENT BANKING - NOW HIRING

Monitors activities to minimize the company's exposure to risk. Activities may include quantitative analysis, risk identification and remediation. Represents or supports the reputation of the company to minimize compliance and reg...

CompanySantander Holdings Usa Inc
AddressNew York, NY
CategoryInformation Technology
Job typeFull-time, Part-time
Date Posted 3 weeks ago See detail

VP- Market Risk, Corporate & Investment Banking - Now Hiring

Santander Holdings Usa Inc

New York, NY

Monitors activities to minimize the company's exposure to risk. Activities may include quantitative analysis, risk identification and remediation. Represents or supports the reputation of the company to minimize compliance and reg...

Market Risk Advisor

Engie

United States

Develop, enhance and maintain tools, methodologies and reports that evaluate pricing and risk assessment of various commercial transactions Perform periodic and ad-hoc analysis; Propose, evaluate, and validate commercial strateg...

Market Behavior Modeling Research Risk Analysis Sr. Manager

Bank Of America

New York, NY

This role provides you with a broad platform to build partnerships with business and risk counterparts, a vantage point to explore end-to-end data ecosystems and technologies, and ability to co-develop solutions for GRM that drive...

Intern, Market Risk

Engie

United States

Undergraduate in which you completed courses in Finance, Economics, or any related field or Chartered Financial Analyst (CFA), Chartered Alternative Investment Analyst (CAIA), and Financial Risk Manager (FRM) Must possess a 3.5 GP...

CFO Global Markets Risk Manager

Bank Of America

Charlotte, NC

$128K - $162K a year

Conduct comprehensive risk analysis of Corporate Treasury products, ensuring accurate identification and assessment of potential risks. Collaborate with senior managers and executives to develop and enhance complex risk management...

Sr Associate - Capital Markets & Risk

Capital One

Virginia, United States

Support the preparation and execution of Annual Managerial Capital Budget cycle Leverage technology to drive data, process and analytics automation initiatives Become a managerial capital subject matter expert to build and maintai...

Head of Market Risk & Investment Portfolio Credit Risk

Northern Trust

Chicago, IL

Unspecified

Oversight of Treasury Investment Portfolio Credit Risk. Serve as the primary conduit between Credit Risk and Treasury ensuring that appropriate risk management practices are followed in managing the Investment Portfolio.. Primary...

Associate, Market Risk- Corporate & Investment Banking - Now Hiring

Santander Holdings Usa Inc

New York, NY

Monitors activities to minimize the company's exposure to risk. Activities may include quantitative analysis, risk identification and remediation. Represents or supports the reputation of the company to minimize compliance and reg...

Sr. Associate, Capital Markets & Risk

Capital One

Virginia, United States

Bachelors Degree or military experience At least 2 years of experience in a Financial Services Industry Strong communication and presentation skills Strong critical thinking with an ability to flex among and balance changing prio...

Capital Markets Risk Specialist

Federal Reserve Bank

Kansas City, MO

Using an inquisitive and analytical mindset to independently assess asset and liability management at banking organizations. Your focus will primarily include liquidity, interest rate, and investment securities risks, with input i...

Associate Director, Market Risk

Royal Bank Of Canada

New York, NY

Job SummaryRBC is seeking a strong candidate to join its Market Risk team, specifically for the Fundamental Review of Trading Book (FRTB) portion of the Basel 3 Endgame and other regulatory compliance. We care about each other, re...

Market Risk Manager - Equity Derivatives

Mizuho Financial Group

New York, NY

An exciting opportunity to join the risk management team leading the coverage for Equity Derivatives within Mizuho Americas - a fast growing business.The individual will partner with the Front Office, Quants, IT and other control...

Principal Analyst, Capital Markets & Risk

Capital One

Richmond, VA

Develop loans and deposits portfolio forecast for the companys CCAR stress testing and internal scenario analyses. Develop and own revenue and expense forecast models and analyses to support stress testing needs, growth of the...

Market Risk Associate

Edp Renewables North America Llc

Houston, TX

Making part of the Global Energy Management platform within the EDP Group, focusing in EDPR NA (US, CA, MX), preparation of Committees held every month and presentation in front of the Management Team of the Company, covering the...

Market Risk Associate

Edp Renewables

Houston, TX

Making part of the Global Energy Management platform within the EDP Group, focusing in EDPR NA (US, CA, MX), preparation of Committees held every month and presentation in front of the Management Team of the Company, covering the...

Vice President, Market Risk Analytics Manager FICCS

Wedbush

Los Angeles, CA

Manage team that issues intraday/overnight calls and risk limit breaches to clients, while answering and investigating any inquiries or disputes Calibrate risk systems and reporting for daily monitoring and management reporting pa...

Sr. Manager, Capital Markets & Risk - Capital Advisory

Capital One

New York, NY

Allocate capital across Commercial portfolios to help the business understand relative differences in capital need and returns. Design and guide the implementation of capital assignment in Commercial pricing models to inform decis...

Global Markets Risk Manager (VP) - Mortgages and Securitized Products

Bank Of America

New York, NY

Review trading portfolios and associated risk metrics. Report and monitor positions against market risk metrics and limits.. Liaise closely with trading desks to understand market trends in relation to portfolio changes.. Identify...

Vice President - Credit Risk Officer, Global Markets Credit

Bank Of America

New York, NY

Bachelor's degree in Finance, Accounting, or Economics majors preferred. 6-10+ years of experience in financial services. Relevant prior experience may include roles in: Credit Risk management, credit underwriting, structuring, lo...

Senior Vice President Operational and Resilience Risk Wholesale/Market Security Services

Hsbc

New York, NY

Ensure the integrity and timely completeness of risk and control identification, assessment and information within the Groups Risk and Control system of record (Helios) as well as directing documented remediation plans for residu...

Quantitative Risk, Model Developer- Market Risk Analytics - VP (Hybrid)

Citigroup Inc

Irving, TX

Support Market Risk Analytics projects in multiple areas, including FRTB (Fundamental Review of the Trading Book, the next generation of Market Risk regulatory framework) CCAR (Comprehensive Review of the Trading Book), and LIBOR...

Markets IBR - Business Risk Sr Officer II - Director

Citigroup

New York, NY

Qualifications:15+ years of experience in technology/Data Roles in Financial services Deep data knowledge in Front office Risk, Valuation, Margin, Settlement for OTC Derivatives.Excellent technical, diagnostic, and troubleshooting...

Markets & Securities Services Operations Non-Financial Risk Team

Hsbc

New York, NY

Be responsible for implementing strong risk management processes and frameworks, proactively supporting various Operations business lines within risk appetite. Deliver exceptional overall governance, mobilization and management...

Manager, Operational Risk Management, Private Markets

Manulife And John Hancock

Boston, MA

Support/ deliver to facilitate the effective implementation of an Operational Risk framework within the Manulife Investment Management Private Markets/ GA segments. Support the Risk and Control Self-Assessment process: documentati...

Risk, Credit Risk-Global Markets, Associate

Goldman Sachs

New York, NY

Leverage quantitative models and stress tests to opine on initial margin Drive risk conversations with respective trading and sales teams (OTC derivatives, prime brokerage, repo, etc) Basic Qualifications: 3-5 years of experience...

Sr. Business Analyst - Liquidity, Market, and Capital Risk Oversight

Capital One

Richmond, VA

Contribute to challenges of capital measurement and management processes, including methodologies, assumptions/inputs, results, and business decisions. Support problem solving and decision-making by applying quantitative analytic...