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Commodity Risk Manager Jobs in Queens, NY (NOW HIRING)

Analyst, Market Risk Manager

New York, NY · On-site

$79K - $100K/yr

Risk | Financial Risk - TRM | Analyst, Market Risk Manager | New York About ING : In the Americas ... Within FM, the commodity derivatives trading desk provides hedges to clients with already existing ...

Experience: 7-12+ Years About Pillar Pillar is building the next-generation commodity risk management stack for the $10T physical economy. We combine real-time market data with AI-powered exposure ...

Experience: 7-12+ Years About Pillar Pillar is building the next-generation commodity risk management stack for the $10T physical economy. We combine real-time market data with AI-powered exposure ...

Competitive initial equity package + refreshers * 5+ years of experience About Pillar Pillar is building the next-generation commodity risk management stack for the $10T physical economy. We combine ...

In addition to leading the risk management of commodity trades, we would expect and encourage the Senior Macro Trading Risk manager to become familiar with and oversee the risk of other asset classes ...

Competitive initial equity package + refreshers * 5+ years of experience About Pillar Pillar is building the next-generation commodity risk management stack for the $10T physical economy. We combine ...

Experience: 3+ Years About Pillar Pillar is building the next-generation commodity risk management stack for the $10T physical economy. We combine real-time market data with AI-powered exposure ...

In addition to leading the risk management of commodity trades, we would expect and encourage the Senior Macro Trading Risk manager to become familiar with and oversee the risk of other asset classes ...

Experience: 3+ Years About Pillar Pillar is building the next-generation commodity risk management stack for the $10T physical economy. We combine real-time market data with AI-powered exposure ...

Cost Management & Risk Mitigation * Analyze market conditions, cost drivers, and supplier economics ... commodity management, or supply chain leadership within a manufacturing environment. * Proven ...

Experience: 3+ Years About Pillar Pillar is building the next-generation commodity risk management stack for the $10T physical economy. We combine real-time market data with AI-powered exposure ...

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Showing results 1-20

Commodity Risk Manager information

See Queens, NY salary details

$38.1K

$102.3K

$167K

How much do commodity risk manager jobs pay per year?

As of Aug 13, 2026, the average yearly pay for commodity risk manager in Queens, NY is $102,303.00, according to ZipRecruiter salary data. Most workers in this role earn between $83,500.00 and $119,000.00 per year, depending on experience, location, and employer.

How does a commodity risk manager typically collaborate with other departments within an organization?

A Commodity Risk Manager works closely with departments such as procurement, finance, supply chain, and trading to identify and mitigate risks associated with commodity price fluctuations. They often coordinate with procurement teams to develop hedging strategies and ensure contracts align with risk tolerance, as well as with finance to analyze market trends and forecast potential exposures. Regular communication and cross-functional meetings are common to align strategies and maintain a holistic view of the organization's commodity risk profile.

What does a commodity risk manager do?

A Commodity Risk Manager is responsible for identifying, assessing, and managing risks associated with the trading, purchasing, or production of commodities such as oil, gas, metals, or agricultural products. They analyze market trends, develop risk mitigation strategies, and use financial instruments like hedging to protect the company from price volatility. Their role often involves collaborating with traders, analysts, and senior management to ensure that the organization’s commodity exposure aligns with its overall risk appetite and business objectives.

What are the key skills and qualifications needed to thrive as a commodity risk manager?

To thrive as a Commodity Risk Manager, you need a solid understanding of financial markets, risk assessment, and commodity trading, typically backed by a degree in finance, economics, or a related field. Familiarity with risk management software, trading platforms, and certifications such as FRM (Financial Risk Manager) are highly valuable. Strong analytical thinking, attention to detail, and effective communication skills help you make informed decisions and clearly convey risk assessments. These competencies are crucial for managing exposure, optimizing trading strategies, and safeguarding organizational profitability in volatile commodity markets.

What is the difference between Commodity Risk Manager vs Commodity Trader?

AspectCommodity Risk ManagerCommodity Trader
CredentialsRisk management certifications, finance or economics degreesTrading licenses, finance or economics degrees
Work EnvironmentCorporate risk departments, energy, agriculture, or metals companiesTrading floors, financial institutions, commodity firms
Industry UsageFocus on risk mitigation and hedging strategiesFocus on buying and selling commodities for profit

While both roles involve commodities, the Commodity Risk Manager primarily focuses on managing and mitigating risks associated with commodity price fluctuations, whereas the Commodity Trader actively engages in buying and selling commodities to generate profit. The roles often overlap in industry and credentials but differ in their core objectives and daily activities.

What job categories do people searching Commodity Risk Manager jobs in Queens, NY look for?

The top searched job categories for Commodity Risk Manager jobs in Queens, NY are:

What cities near Queens, NY are hiring for Commodity Risk Manager jobs?

Cities near Queens, NY with the most Commodity Risk Manager job openings:

Infographic showing various Commodity Risk Manager job openings in Queens, NY as of August 2026, with employment types broken down into 88% Full Time, 11% Part Time, and 1% Contract. Highlights an 84% Physical, 3% Hybrid, and 13% Remote job distribution, with an average salary of $102,303 per year, or $49.2 per hour.

Analyst, Market Risk Manager

ING Group

New York, NY • On-site

$79K - $100K/yr

Full-time

Medical, Retirement, PTO

Posted 6 days ago


Job description

Risk | Financial Risk - TRM | Analyst, Market Risk Manager | New York
About ING:
In the Americas, ING's Wholesale Banking division offers a broad range of innovative financial products and services to domestic and international corporate and institutional clients.
When you come to work at ING, you're joining a team where individuality isn't just accepted, it's encouraged. We've built a culture that's fun, friendly and supportive - it's the kind of place where you can be yourself and make the most of whatever you have to offer.
We give people the freedom to take risks, think differently, take ownership of their work, and make great things happen. We're here to help you get ahead. And with our global network, there's plenty of scope to take your career in new directions, perhaps even ones you've never considered. ING Americas follows a hybrid work model, allowing for in-office / work from home flexibility. Hybrid work arrangements vary based on business area.
Sound like the kind of place you'd feel at home? We'd love to hear from you.
About the position:
This job is responsible for market risk management (analysis, reporting, and monitoring) of the commodity derivatives trading desk in New York. Within FM, the commodity derivatives trading desk provides hedges to clients with already existing lending relations, to ensure right way risk to ING. The desk has a global coverage, with main trading hubs in London, Singapore and New York. This role offers an exciting opportunity within TRM New York to cover the market risk aspects for commodity derivatives trading, to learn and to make an impact in a diverse and collaborative team.
About the department:
The TRM department is a central part of ING's risk management framework, with primary responsibility for assessing, monitoring, and managing risks of all trading books. TRM is independent from the revenue generating divisions of the firm and reports to the firm's Chief Risk Officer and Global Head of TRM. The
regional TRM function is responsible for market risk management of trading books as well as liquidity risk, asset and liability management, and regulatory risk models (including those of
counterparty credit risk).
Responsibilities :
  • Manage all market risk aspects of the commodity trading desk;
  • Ensure that controls are in place for complete and accurate monitoring and reporting of market risk;
  • Measure, monitor, analyze and report market risk of CMD trading books on a daily basis;
  • Perform pro-active risk management by providing analysis and advice to the front office;
  • Collaborate with the regulatory risk team and respond to regulatory requests promptly and accurately;
  • Execute and monitor risk processes and ensure the data quality within these processes;
  • Coordinate with the Global Market data team (GMDB), Trading Application Support, System Support and other teams to set up new market data sources and to help resolve market data related issues;
  • Actively participate in product and regulatory related projects and initiatives, including system upgrades, testing and setup of new products, desk/risk management system migrations, MI, FRTB, market data sourcing, department audits, risk tooling upgrades / maintaining, roll out reporting solutions;
  • Actively participate in regulatory examinations, internal audits (CAS), external reviews (KPMG) and Model Validations (MV);
  • Streamline reporting processes and adapt to IT and system changes;

Qualifications and Competencies
  • Bachelor's or Master's degree in Business, Finance, Statistics, Economics or other relevant field of study;
  • 0-1+ years of relevant working experience;
  • Good knowledge of financial markets, economics and (commodity) market risk;
  • Delivery focused with strong analytical skills, and ability to perform cash flow analysis using analytical tools;
  • Energetic, able to work independently and take the initiative to drive value;
  • Ability to perform under pressure, multi-task and react/reprioritize quickly;
  • Strong verbal and written communication skills;
  • Excellent organization and problem-solving skills are required;
  • Professional, pro-active, self-driven, hands-on, collaborative, responsive
  • Must be well versed in Microsoft Office applications, particularly Excel VBA. Python and SQL are highly recommended.

Salary Range: $79,000-100,000
The salary range listed reflects base salary only. This role is eligible for participation in a discretionary bonus program.
In addition to comprehensive health benefits, a generous 401k savings plan, and competitive PTO, ING provides a broad array of benefits including adoption, surrogacy, and fertility services; student debt assistance; and subsidies for expenses associated with commuting and fitness.
ING is a committed equal opportunity employer. We welcome applicants of diverse backgrounds and hire without regard to race, gender, religion, national origin, citizenship, disability, age, sexual orientation, or any other characteristic protected by law. We celebrate these differences and rely upon your unique perspective to innovate and seize new opportunities. Come as you are.
ING Bank does not have a commercial banking license in the U.S. and therefore not permitted to conduct a commercial banking business in the U.S. Through its wholly owned subsidiary ING Financial Services LLC, and its affiliates, it offers a full array of wholesale products such as commercial lending and a full range of FM products and services.