Firm Risk Management Firm Risk Management (FRM) supports Morgan Stanley to achieve its business ... Capital, Market Risk Department, Risk Analytics, Business, Finance, Technology, and other key ...
Firm Risk Management Firm Risk Management (FRM) supports Morgan Stanley to achieve its business ... Capital, Market Risk Department, Risk Analytics, Business, Finance, Technology, and other key ...
Firm Risk Management Firm Risk Management (FRM) supports Morgan Stanley to achieve its business ... Capital, Market Risk Department, Risk Analytics, Business, Finance, Technology, and other key ...
Firm Risk Management Firm Risk Management (FRM) supports Morgan Stanley to achieve its business ... Capital, Market Risk Department, Risk Analytics, Business, Finance, Technology, and other key ...
Capital & Data Risk / IM Risk (Risk Management) : Job Level - Vice President
Manhattan, NY · On-site
$150 - $200/hr
Firm Risk Management Firm Risk Management (FRM) supports Morgan Stanley to achieve its business ... Lead relevant working group discussions across Risk Capital, Market Risk Department, Risk Analytics ...
Capital & Data Risk / IM Risk (Risk Management) : Job Level - Vice President
Manhattan, NY · On-site
$150 - $200/hr
Firm Risk Management Firm Risk Management (FRM) supports Morgan Stanley to achieve its business ... Lead relevant working group discussions across Risk Capital, Market Risk Department, Risk Analytics ...
NY · On-site
$150 - $200/hr
... Capital, Market Risk Department, Risk Analytics, Business, Finance, Technology, and other key ... At Morgan Stanley, we raise, manage and allocate capital for our clients - helping them reach their ...
NY · On-site
$150 - $200/hr
... Capital, Market Risk Department, Risk Analytics, Business, Finance, Technology, and other key ... At Morgan Stanley, we raise, manage and allocate capital for our clients - helping them reach their ...
Risk Management - Capital Risk Management Analyst
Manhattan, NY · On-site
$150 - $200/hr
As a Capital Risk Analyst in Capital Risk Management, you help us monitor, analyze, and report ... Stay up‑to‑date with market news, regulations, and peer bank activity * Interact frequently ...
Risk Management - Capital Risk Management Analyst
Manhattan, NY · On-site
$150 - $200/hr
As a Capital Risk Analyst in Capital Risk Management, you help us monitor, analyze, and report ... Stay up‑to‑date with market news, regulations, and peer bank activity * Interact frequently ...
Develops market risk management strategies. Principal Duties & Responsibilites: * Responsible for ... Excellent analytical and financial modeling skills. * Exceptional communication and interpersonal ...
Develops market risk management strategies. Principal Duties & Responsibilites: * Responsible for ... Excellent analytical and financial modeling skills. * Exceptional communication and interpersonal ...
Risk Management - Capital Risk Management Analyst
Brooklyn, NY · On-site
$100K - $120K/yr
As a Capital Risk Analyst in Capital Risk Management, you help us monitor, analyze, and report ... Stay up-to-date with market news, regulations, and peer bank activity * Interact frequently with ...
Risk Management - Capital Risk Management Analyst
Brooklyn, NY · On-site
$100K - $120K/yr
As a Capital Risk Analyst in Capital Risk Management, you help us monitor, analyze, and report ... Stay up-to-date with market news, regulations, and peer bank activity * Interact frequently with ...
Capital Market & Financial Risk Management Business Analyst
Charlotte, NC · On-site
$100 - $125/hr
Capital Market & Financial Risk Management Business Analyst Charlotte, NC, Jersey City, NJ, Tampa, FL State / Region / Province Florida, New Jersey, North Carolina Country USA Domain Delivery ...
Capital Market & Financial Risk Management Business Analyst
Charlotte, NC · On-site
$100 - $125/hr
Capital Market & Financial Risk Management Business Analyst Charlotte, NC, Jersey City, NJ, Tampa, FL State / Region / Province Florida, New Jersey, North Carolina Country USA Domain Delivery ...
Market Risk Analyst
Houston, TX · On-site
Assume a pivotal role in assessing and managing market risks within trading environments. You will provide market risk analysis for global and regional trading activities. Responsibilities encompass ...
Market Risk Analyst
Houston, TX · On-site
Assume a pivotal role in assessing and managing market risks within trading environments. You will provide market risk analysis for global and regional trading activities. Responsibilities encompass ...
FL · On-site
$82K - $122K/yr
... Risk Management|Market Risk Measurement & Control Technical Skills 4 Domain|Financial Risk ... Analyze client business processes to identify optimization opportunities and align them with ...
FL · On-site
$82K - $122K/yr
... Risk Management|Market Risk Measurement & Control Technical Skills 4 Domain|Financial Risk ... Analyze client business processes to identify optimization opportunities and align them with ...
SVP, Market Risk Management
$285K - $325K/yr
Description The Senior Vice President, Market Risk Management & Capital Planning is responsible for ... analytics, and capital decisions while ensuring robust governance, effective risk measurement, and ...
SVP, Market Risk Management
$285K - $325K/yr
Description The Senior Vice President, Market Risk Management & Capital Planning is responsible for ... analytics, and capital decisions while ensuring robust governance, effective risk measurement, and ...
SVP, Market Risk Management
Chelmsford, MA · On-site
$285K - $325K/yr
Description The Senior Vice President, Market Risk Management & Capital Planning is responsible for ... analytics, and capital decisions while ensuring robust governance, effective risk measurement, and ...
SVP, Market Risk Management
Chelmsford, MA · On-site
$285K - $325K/yr
Description The Senior Vice President, Market Risk Management & Capital Planning is responsible for ... analytics, and capital decisions while ensuring robust governance, effective risk measurement, and ...
Manager, ALM, Market Risk Modeling
Westlake, TX · On-site
$100K - $150K/yr
... analytics that inform investment, liquidity, and capital strategies as well as risk management ... market risk. In addition to the salary range, this role is also eligible for bonus or incentive ...
Manager, ALM, Market Risk Modeling
Westlake, TX · On-site
$100K - $150K/yr
... analytics that inform investment, liquidity, and capital strategies as well as risk management ... market risk. In addition to the salary range, this role is also eligible for bonus or incentive ...
You will be assisting Capital Markets Risk Management organizations to analyze the performance of ... Lead analysis of market risk for a large MBS portfolio * Understand models that drive market risk ...
You will be assisting Capital Markets Risk Management organizations to analyze the performance of ... Lead analysis of market risk for a large MBS portfolio * Understand models that drive market risk ...
Middle Office Market Risk Analyst (1935)
Houston, TX · On-site
$150 - $200/hr
Assume a pivotal role in assessing and managing market risks within trading environments. You will provide market risk analysis for global and regional trading activities. Responsibilities encompass ...
Middle Office Market Risk Analyst (1935)
Houston, TX · On-site
$150 - $200/hr
Assume a pivotal role in assessing and managing market risks within trading environments. You will provide market risk analysis for global and regional trading activities. Responsibilities encompass ...
Capital Risk Vice President
Brooklyn, NY · On-site
$141K - $209K/yr
Support ad hoc analysis and management/regulatory-ready materials for senior stakeholders Required qualifications, capabilities, and skills: * 2 years of relevant experience in Market Risk, Capital ...
Capital Risk Vice President
Brooklyn, NY · On-site
$141K - $209K/yr
Support ad hoc analysis and management/regulatory-ready materials for senior stakeholders Required qualifications, capabilities, and skills: * 2 years of relevant experience in Market Risk, Capital ...
Support ad hoc analysis and management/regulatory-ready materials for senior stakeholders Required qualifications, capabilities, and skills: * 2 years of relevant experience in Market Risk, Capital ...
Support ad hoc analysis and management/regulatory-ready materials for senior stakeholders Required qualifications, capabilities, and skills: * 2 years of relevant experience in Market Risk, Capital ...
Capital Risk Vice President
Brooklyn, NY · On-site
Support ad hoc analysis and management/regulatory-ready materials for senior stakeholders Required qualifications, capabilities, and skills: * 2 years of relevant experience in Market Risk, Capital ...
Capital Risk Vice President
Brooklyn, NY · On-site
Support ad hoc analysis and management/regulatory-ready materials for senior stakeholders Required qualifications, capabilities, and skills: * 2 years of relevant experience in Market Risk, Capital ...
ERM Market Risk Analyst II
Indianapolis, IN · On-site
$80 - $100/hr
Purpose:The ERM Market Risk Analyst II is responsible for providing financial and analytical ... The role resides in the Enterprise Risk Management department, whose primary focus is identifying ...
ERM Market Risk Analyst II
Indianapolis, IN · On-site
$80 - $100/hr
Purpose:The ERM Market Risk Analyst II is responsible for providing financial and analytical ... The role resides in the Enterprise Risk Management department, whose primary focus is identifying ...
Senior Market Risk Manager
Manhattan, NY · On-site
$150 - $200/hr
The successful candidate must have at least 10 years of relevant financial industry experience in Market Risk Management, quantitative risk analytics, trading risk oversight, or a related capital ...
Senior Market Risk Manager
Manhattan, NY · On-site
$150 - $200/hr
The successful candidate must have at least 10 years of relevant financial industry experience in Market Risk Management, quantitative risk analytics, trading risk oversight, or a related capital ...
Capital Market Risk Management Analyst information
See salary details
$65K - $72.3K
13% of jobs
$79.5K is the 25th percentile. Wages below this are outliers.
$72.3K - $79.6K
13% of jobs
$79.6K - $87K
11% of jobs
$87K - $94.3K
0% of jobs
$94.3K - $101.6K
2% of jobs
$101.6K - $108.9K
9% of jobs
The median wage is $110.7K / yr.
$108.9K - $116.2K
11% of jobs
$116.2K - $123.5K
11% of jobs
$127.7K is the 75th percentile. Wages above this are outliers.
$123.5K - $130.9K
12% of jobs
$130.9K - $138.2K
9% of jobs
$138.2K - $145.5K
11% of jobs
$65K
$108.3K
$145.5K
How much do capital market risk management analyst jobs pay per year?
What is the difference between Capital Market Risk Management Analyst vs Credit Risk Analyst?
| Aspect | Capital Market Risk Management Analyst | Credit Risk Analyst |
|---|---|---|
| Required Credentials | Bachelor's degree in finance, economics, or related field; certifications like FRM or CFA beneficial | Bachelor's degree in finance, economics, or related; CFA or credit risk certifications advantageous |
| Work Environment | Financial institutions, investment banks, asset management firms | Banks, lending institutions, credit agencies |
| Industry Usage | Focuses on market risks, trading portfolios, and financial instruments | Focuses on borrower creditworthiness and loan risk assessment |
The Capital Market Risk Management Analyst primarily manages risks related to market fluctuations and financial instruments, while the Credit Risk Analyst concentrates on assessing the creditworthiness of borrowers. Both roles require similar educational backgrounds and certifications but differ in their focus areas within the financial industry.
What cities are hiring for Capital Market Risk Management Analyst jobs?
Cities with the most Capital Market Risk Management Analyst job openings:
What are popular job titles related to Capital Market Risk Management Analyst jobs?
For Capital Market Risk Management Analyst jobs, the most frequently searched job titles are:
Capital & Data Risk / IM Risk (Risk Management) : Job Level - Vice President
New York, NY • On-site
Full-time
Posted 13 days ago
Morgan Stanley rating
8.3
Based on 158 frontline employees who took The Breakroom Quiz
36th of 154 rated financial services
Job description
Firm Risk Management (FRM) supports Morgan Stanley to achieve its business goals by partnering with business units across the Firm to realize efficient risk-adjusted returns, acting as a strategic advisor to the Board and protecting the Firm from exposure to losses as a result of credit, market, liquidity, operational, model and other risks.
Background on the Position
The role will reside within the Market Risk Capital team, which is responsible for producing Market RWA and Capital results for the Firm Risk Management Department. These results are key inputs for regulatory reporting and internal business management.
We are seeking a high-quality Vice President to serve as the FRTB Lead for the US within the Global Market Risk Capital team, based in New York. The individual will report to the Global Head of Market Risk Capital, work closely with the Global FRTB Head in Market Risk Capital and lead the production initiatives of both FRTB Standardized Approach (SA) and Internal Models Approach (IMA) for the US go-live. The role requires strong regulatory capital expertise, excellent execution discipline, and the ability to coordinate across Risk Capital, Market Risk Department, Risk Analytics, Business, Finance, Technology, and other key stakeholders.
The successful candidate will help define tooling, reporting, analysis, governance, and operating model requirements for the US FRTB implementation, while also supporting current market risk capital production under Basel 2.5 rules for the Firm, US Banks, and Swap Dealers. The role will also involve participation in regulatory communications and engagement with regulators, auditors, and external consultants during examinations, audits, and reviews.
Primary Responsibilities
>Work closely with the Global FRTB Head to drive the end-to-end implementation of FRTB SA and IMA under the U.S. rules, including productionizing Risk Analytics' IMA models, designing scalable calculation and reporting processes, defining the target operating model, coordinating execution, and ensuring successful readiness and go-live.
>Identify tooling, reporting, data, control, and analytical requirements required to support the US FRTB go-live, including requirements related to production processes, internal capital management reporting, regulatory submissions, and governance.
>Lead relevant working group discussions across Risk Capital, Market Risk Department, Risk Analytics, Business, Finance, and Technology to drive alignment on scope, requirements, ownership, dependencies, timelines, issue resolution, and implementation priorities.
>Provide support to current Market Risk Capital production under Basel 2.5 rules for the Firm, US Banks and Swap Dealers, including production review, analysis of RWA and capital drivers, regulatory reporting support, controls, and governance activities.
>Serve as a key contributor in regulatory engagements, leading the preparation and delivery of oral and written responses, presentations, and other communications with the FRB, Fed, OCC, SEC, NFA, FINRA, CFTC, and other relevant regulatory bodies, as applicable.
>Act as a liaison with regulators, auditors, external consultants, and internal review teams during regulatory examinations, audit reviews, process validation reviews, and other independent assessments. >Relevant experience in market risk capital, regulatory capital, market risk management, capital reporting, or related risk management functions at a financial institution.
>Strong understanding of Basel market risk capital frameworks, including Basel 2.5 and FRTB; experience with FRTB SA and/or IMA implementation is strongly preferred.
>Strong analytical skills, with the ability to understand complex capital calculations, identify key RWA drivers, assess production impacts, and translate technical topics into clear management and regulatory messaging.
>Experience working with regulators, auditors, internal validation teams, or external consultants, including support for regulatory exams, audit reviews, written responses, and management presentations.
>Excellent written and verbal communication skills, with the ability to engage effectively with senior stakeholders across Risk, Finance, Technology, Business, and regulatory-facing teams.
>Detail-oriented, highly motivated, and able to manage complex processes with appropriate control, governance, and documentation discipline.
>Strong interpersonal skills and ability to lead working group discussions, drive consensus, and influence outcomes across teams without direct reporting lines.
>Ability to operate in a fast-paced environment and balance strategic implementation priorities with ongoing production and regulatory deliverables.
WHAT YOU CAN EXPECT FROM MORGAN STANLEY:
At Morgan Stanley, we raise, manage and allocate capital for our clients - helping them reach their goals. We do it in a way that's differentiated - and we've done that for 90 years. Our values - putting clients first, doing the right thing, leading with exceptional ideas, committing to diversity and inclusion, and giving back - aren't just beliefs, they guide the decisions we make every day to do what's best for our clients, communities and more than 80,000 employees in 1,200 offices across 42 countries. At Morgan Stanley, you'll find an opportunity to work alongside the best and the brightest, in an environment where you are supported and empowered. Our teams are relentless collaborators and creative thinkers, fueled by their diverse backgrounds and experiences. We are proud to support our employees and their families at every point along their work-life journey, offering some of the most attractive and comprehensive employee benefits and perks in the industry. There's also ample opportunity to move about the business for those who show passion and grit in their work.
To learn more about our offices across the globe, please copy and paste https://www.morganstanley.com/about-us/global-offices into your browser.
Expected base pay rates for the role will be between $120,000 and $210,000 year at the commencement of employment. However, base pay if hired will be determined on an individualized basis and is only part of the total compensation package, which, depending on the position, may also include commission earnings, incentive compensation, discretionary bonuses, other short and long-term incentive packages, and other Morgan Stanley sponsored benefit programs.
Morgan Stanley is an equal opportunity employer committed to building and maintaining a workforce that is diverse in experience and background. Our recruiting efforts reflect our strong commitment to a culture of inclusion, where individuals are hired, developed, and advanced based on their skills and talents.
Our workforce reflects a broad cross-section of the global communities in which we operate, bringing a variety of backgrounds, talents, perspectives, and experiences.
For more information, please visit: https://www.morganstanley.com/people-opportunities/eeo.
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About Morgan Stanley
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Since our founding in 1935, Morgan Stanley has been committed to serving local and global communities by being a market leader in Investment Banking, Securities, Investment Management and Wealth Management services. Our belief that capital can work to benefit all of society inspires us to put our clients first, lead with exceptional ideas, hold our business to high ethical standards, and give back to communities around the world through philanthropy and public works. We have a smart casual dress code and operate under a philosophy that balances work with your personal life. Our people's talent, passion, and expertise is the fuel on which our organization runs, therefore, our people are our greatest asset. Diversity and inclusiveness is a critical component for our success and it is our priority to continue building a firm that values the unique background and identity of every one of our employees, thus enabling our people to bring their full, and best selves to work each day. Teamwork is the essence of our approach, and so are the values of integrity, excellence, and enabling our people to achieve at the highest levels. We invite you to learn more about our commitment to diversity and serving our community.
Industry
Finance and insurance and software development
Company size
10,000+ Employees
Headquarters location
New York, NY, US