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Asset Management Risk Analyst Jobs (NOW HIRING)

Portfolio Risk Analyst

Manhattan, NY · Hybrid

$145K - $185K/yr

Position Overview Portfolio Risk Analysts support investment teams by analyzing, monitoring, and managing portfolio-level risk exposures across multiple asset classes and strategies. These roles ...

New

Victory Capital is a diversified global asset management firm and employs a next-generation ... Core Risk Analytics & Reporting * Maintain, validate, and continuously enhance front office ...

Senior Investment Risk Analyst

Boston, MA · On-site

$103K - $121K/yr

VCTR) is a diversified global asset management firm. We serve institutional, intermediary, and individual clients through our Investment Franchises and Solutions Platform, which manage specialized ...

Analyst, Risk Management

Los Angeles, CA · On-site

$85K - $105K/yr

... leading fixed-income asset manager. The ideal candidate will have a strong foundational ... The Risk Analyst will present analysis to the investment team in a clear and concise manner. The ...

$85K - $105K/yr

... leading fixed-income asset manager. The ideal candidate will have a strong foundational ... The Risk Analyst will present analysis to the investment team in a clear and concise manner. The ...

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Asset Management Risk Analyst information

See salary details

$40K

$88.4K

$155K

How much do asset management risk analyst jobs pay per year?

As of Sep 10, 2026, the average yearly pay for asset management risk analyst in the United States is $88,429.00, according to ZipRecruiter salary data. Most workers in this role earn between $69,000.00 and $101,000.00 per year, depending on experience, location, and employer.

What is the difference between Asset Management Risk Analyst vs Investment Analyst?

AspectAsset Management Risk AnalystInvestment Analyst
Required CredentialsBachelor's degree, certifications like FRM or CFA often preferredBachelor's degree, CFA often preferred
Work EnvironmentFinancial firms, asset management companiesInvestment banks, asset management firms, financial advisory
Employer & Industry UsageFocuses on risk assessment within asset portfoliosFocuses on analyzing investment opportunities and market trends

The Asset Management Risk Analyst primarily evaluates and manages risks associated with investment portfolios, ensuring compliance and risk mitigation. In contrast, the Investment Analyst focuses on researching and recommending investment opportunities. While both roles require financial analysis skills and often CFA or FRM certifications, their core responsibilities differ in focus and daily tasks.

What cities are hiring for Asset Management Risk Analyst jobs?

Cities with the most Asset Management Risk Analyst job openings:

What states have the most Asset Management Risk Analyst jobs?

States with the most job openings for Asset Management Risk Analyst jobs include:

What are popular job titles related to Asset Management Risk Analyst jobs?

For Asset Management Risk Analyst jobs, the most frequently searched job titles are:

Infographic showing various Asset Management Risk Analyst job openings in the United States as of September 2026, with employment types broken down into 1% As Needed, 82% Full Time, 15% Part Time, and 2% Contract. Highlights an 88% Physical, 2% Hybrid, and 10% Remote job distribution, with an average salary of $88,429 per year, or $42.5 per hour.

Wealth Management Risk Analyst

Los Angeles, CA • On-site

East West Bank
Commercial Banking • 1 - 5K employees

$71K - $75K/yr

Full-time

Re-posted 10 days ago


East West Bank rating

7.2

Company rating: 7.2 out of 10

Based on 9 frontline employees who took The Breakroom Quiz


Job description

Since 1973, East West Bank has served as a pathway to success. With over 120 locations across the U.S. and Greater China, we are the premier financial bridge between the East and West. Our teams of experienced, multi-cultural professionals help guide businesses and community members on both sides of the Pacific looking to explore new markets and create new opportunities, and our sustained growth and expertise in industries like real estate, entertainment and media, private equity and venture capital, and high-tech help build sustainable businesses and expand our associates’ potential for career advancement.
Headquartered in California, East West Bank (Nasdaq: EWBC) is a top performing commercial bank with an exclusive focus on the U.S. and Greater China markets. With a strong foundation, and enterprising spirit and a commitment to absolute integrity, East West Bank gives people the confidence to reach further.


East West Bank is seek a Wealth Management Risk Analyst. The primary role of the Risk Analyst is to support daily Risk management function of Wealth Management Business. 


  • Perform call back procedures to confirm client understands of investment product features, disclosures, and risks. Serve as a product specialist on Wealth Management investment products for Financial Consultants (FCs) and Private Bankers (PBs). 
  • Assist with developing and maintaining standards for risk assessment activities including new product risk assessments and ongoing monitoring of existing products. 
  • Partner with key stakeholders within the Wealth Management business to identify, assess, aggregate, and document risks and internal controls, including risks associated with new or modified products, services, distribution channels (sales), regulations, and third-party operations (Cetera). 
  • Assist with the preparation for the presentation of findings to various levels of leadership at the bank. Assist with the communication of results of risk assessments to governance committees (Product Approval Committee, Risk Oversight Committee (ROC), etc.), and business process owners (Wealth Management Department).
  • Contributes to the implementation of new risk policies, practices, appetites, and solutions to ensure holistic understanding and management of risks according to industry best practices.
  • Enhance strategies, tools, and methodologies to measure, monitor, and report risks. 
  • Apply knowledge to utilize or produce analytical material for discussions with Wealth Management teams to understand business objectives and influence solution strategies. 
  • Build reports, deliver regular analysis of risk indicators, and create documentation for reporting related to Wealth Management activities. 
  • Complete/assist in ad-hoc requests received from management.

  • BA/BS degree in related field (Banking & Finance, Financial Engineering)
  • Wealth Management Products knowledge
  • Previous experience in Foreign Exchange or Banking industry
  • Excellent communication skills
  • Strong end user computing skills e.g. Excel (Advanced), Powerpoint, Word and VBA programming
  • 1-2 years functional/professional experience

The base pay range for this position is USD $71,000.00/Yr. - USD $75,000.00/Yr. Exact offers will be determined based on job-related knowledge, skills, experience, and location.

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