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Entry Level Risk Management Analyst Jobs in New York

Overview The Risk Analyst is primarily responsible for analyzing and calculating financial risk ... The ideal candidate will have a minimum of 2+ years of merchant risk management or servicing ...

Manager-Risk Management

Manhattan, NY ยท On-site

$89K - $150K/yr

... fraud risk area. The candidate will be responsible for identifying innovative and actionable ... Understanding of statistical techniques related to data analysis and correlation * Ability to ...

Prepare and deliver risk management reports and presentations * Develop and maintain Power BI ... Risk analysis software and probabilistic tools, including Crystal Ball and @RISK * Quantitative ...

Prepare and deliver risk management reports and presentations * Develop and maintain Power BI ... Risk analysis software and probabilistic tools, including Crystal Ball and @RISK * Quantitative ...

Prepare and deliver risk management reports and presentations * Develop and maintain Power BI ... Risk analysis software and probabilistic tools, including Crystal Ball and @RISK * Quantitative ...

Risk Analyst, Market Risk

New York, NY ยท On-site

$85K - $145K/yr

Aid in the management of the market risk reporting process and ensure the accuracy of key risk measurements. * Development of the risk infrastructure. * Analyze key trading strategies and products to ...

AQR Capital Management AQR is a global investment firm built at the intersection of financial ... The Summer Analyst will contribute to a variety of the Risk team's functions and gain practical ...

AQR Capital Management AQR is a global investment firm built at the intersection of financial ... The Summer Analyst will contribute to a variety of the Risk team's functions and gain practical ...

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Showing results 1-20

Entry Level Risk Management Analyst information

See New York salary details

$39.9K

$90.1K

$151K

How much do entry level risk management analyst jobs pay per year?

As of Jul 24, 2026, the average yearly pay for entry level risk management analyst in New York is $90,072.00, according to ZipRecruiter salary data. Most workers in this role earn between $68,400.00 and $99,000.00 per year, depending on experience, location, and employer.

What is the difference between Entry Level Risk Management Analyst vs Risk Analyst?

AspectEntry Level Risk Management AnalystRisk Analyst
Required CredentialsBachelor's degree in finance, economics, or related field; some certifications like FRM or CRM are a plusBachelor's degree often required; certifications like FRM or CRM preferred
Work EnvironmentCorporate risk departments, financial institutions, insurance companiesFinancial firms, consulting agencies, insurance companies
Employer & Industry UsageEntry-level role in risk management teams across industriesMid-level role focusing on risk assessment and mitigation strategies

While both roles involve assessing and managing risks, the Entry Level Risk Management Analyst typically focuses on supporting risk assessments under supervision, whereas a Risk Analyst may have more independent responsibilities in analyzing and developing risk mitigation strategies. The entry-level position is ideal for those starting their careers, with similar educational requirements and work environments.

What job categories do people searching Entry Level Risk Management Analyst jobs in New York look for? The top searched job categories for Entry Level Risk Management Analyst jobs in New York are:
Infographic showing various Entry Level Risk Management Analyst job openings in New York as of July 2026, with employment types broken down into 87% Full Time, 3% Part Time, and 10% Contract. Highlights an 90% In-person, 3% Hybrid, and 7% Remote job distribution, with an average salary of $90,072 per year, or $43.3 per hour.

Junior Analyst, Counterparty Credit Risk Management

BizTek People, Inc. | APA International Placement Consultants

Manhattan, NY โ€ข On-site

Full-time

Posted 29 days ago


Job description


Prestigious international bank seeks AVP, Counterparty Credit Risk Management.
The position is responsible for exposure and portfolio management of the derivatives and traded products portfolio, which includes analysis of exposures, monitoring of limits and exposures, and risk reporting.
As the business has a significant growth strategy and expands into new traded products, this is an exciting time for the group to play a critical role in
1.Portfolio management,
2.Driving and executing new initiatives,
3.Meeting regulatory requirements, and
4.Working to improve risk governance.
Position description -
As an integral part of Americas Risk Management,
โ€ข Responsible for exposure and portfolio management of counterparties and effective management of risk in derivative transactions.
โ€ข Conduct what-if analysis on new transactions and counterparty portfolio.
โ€ข Utilize what-if analysis to determine appropriate risk limits and work with credit officers and with front office to formulate recommendations.
โ€ข Play a critical liaison role with Head Office Credit Departments in Tokyo for timely credit limit applications and approvals for Japanese Corporate Counterparties and Interbank Counterparties.
โ€ข On an ongoing basis, analyze counterparty credit exposure on various metrics such as Expected Positive Exposure, Potential Future Exposure, etc.
โ€ข Responsible for monitoring and reporting of intraday and end of day limits, excesses and collateral disputes.
โ€ข Play a key role in executing ongoing improvements in data quality and reporting infrastructure.
โ€ข Support new initiatives and projects to enhance portfolio management and exposure management.
โ€ข Play a critical SME role in working with the Technology group (IT) to guide business requirements related to new products/enhanced reporting.
โ€ข Support ongoing regulatory requirements/exams on ongoing remediation.
Requirements
โ€ข Bachelor's degree in Finance/Mathematics/Engineering.
โ€ข Strong analytical and quantitative background, and modeling abilities
โ€ข Proficiency in VBA and Python
โ€ข Minimum 2-3 years of experience in Credit Risk Management.
โ€ข Experience in derivative products/counterparty credit risk is preferred.
โ€ข Excellent written and verbal presentation skills
โ€ข Strong attention to detail.
โ€ข Ability to work closely with partners, provide direction and follow-up to get the job done.
โ€ข Proficiency in Japanese is preferred
Benefits
Good benefits
Skill Set
Credit Risk, VBA, Python, Finance/Mathematics/Engineering