Reporting to the Managing Director, Risk Solutions, you will also provide input and generate ideas ... Experience with and understanding of private equity derivative activity is a plus * Strong ...
Reporting to the Managing Director, Risk Solutions, you will also provide input and generate ideas ... Experience with and understanding of private equity derivative activity is a plus * Strong ...
Title : Americas Equity Market Risk (Lead) Tenure: 7y+ (ideally 7-15y) We are looking for a ... Deep experience in risk managing non-linear/derivatives products * Strong academic record with ...
Title : Americas Equity Market Risk (Lead) Tenure: 7y+ (ideally 7-15y) We are looking for a ... Deep experience in risk managing non-linear/derivatives products * Strong academic record with ...
Reporting to the Managing Director, Risk Solutions, you will also provide input and generate ideas ... Experience with and understanding of private equity derivative activity is a plus * Strong ...
Quick apply
Reporting to the Managing Director, Risk Solutions, you will also provide input and generate ideas ... Experience with and understanding of private equity derivative activity is a plus * Strong ...
In-Business Risk Structurer for Equity Derivatives, Director
Manhattan, NY · On-site
$200K - $300K/yr
Communicate risk view to senior management and represent IBR in senior forums with key stakeholders ... Expertise in Equity Derivatives products (vanilla and exotic OTC derivatives, QIS and hybrids)
In-Business Risk Structurer for Equity Derivatives, Director
Manhattan, NY · On-site
$200K - $300K/yr
Communicate risk view to senior management and represent IBR in senior forums with key stakeholders ... Expertise in Equity Derivatives products (vanilla and exotic OTC derivatives, QIS and hybrids)
$150K - $180K/yr
... derivatives. Position Overview The US Equity Risk Management Analyst (Vice President) is integrated into the global RM Equity team, responsible for Equity Solution and GRI (Global Repo and Indexing ...
$150K - $180K/yr
... derivatives. Position Overview The US Equity Risk Management Analyst (Vice President) is integrated into the global RM Equity team, responsible for Equity Solution and GRI (Global Repo and Indexing ...
Title : Americas Equity Market Risk (Lead) Tenure: 7y+ (ideally 7-15y) We are looking for a ... Deep experience in risk managing non-linear/derivatives products * Strong academic record with ...
Title : Americas Equity Market Risk (Lead) Tenure: 7y+ (ideally 7-15y) We are looking for a ... Deep experience in risk managing non-linear/derivatives products * Strong academic record with ...
Title : Americas Equity Market Risk (Lead) Tenure: 7y+ (ideally 7-15y) We are looking for a ... Deep experience in risk managing non-linear/derivatives products * Strong academic record with ...
Title : Americas Equity Market Risk (Lead) Tenure: 7y+ (ideally 7-15y) We are looking for a ... Deep experience in risk managing non-linear/derivatives products * Strong academic record with ...
As a Risk Manager, you will be part of Jump Trading's Global Risk Management team. The department ... Equity derivatives and index products also useful. * Bachelor's degree required; including a strong ...
As a Risk Manager, you will be part of Jump Trading's Global Risk Management team. The department ... Equity derivatives and index products also useful. * Bachelor's degree required; including a strong ...
Risk Manager | Equities
New York, NY · On-site
$150K - $200K/yr
As a Risk Manager, you will be part of Jump Trading's Global Risk Management team. The department ... Equity derivatives and index products also useful. * Bachelor's degree required; including a strong ...
Risk Manager | Equities
New York, NY · On-site
$150K - $200K/yr
As a Risk Manager, you will be part of Jump Trading's Global Risk Management team. The department ... Equity derivatives and index products also useful. * Bachelor's degree required; including a strong ...
Risk Manager | Equities
Manhattan, NY · On-site
$150K - $200K/yr
As a Risk Manager, you will be part of Jump Trading's Global Risk Management team. The department ... Equity derivatives and index products also useful. * Bachelor's degree required; including a strong ...
Risk Manager | Equities
Manhattan, NY · On-site
$150K - $200K/yr
As a Risk Manager, you will be part of Jump Trading's Global Risk Management team. The department ... Equity derivatives and index products also useful. * Bachelor's degree required; including a strong ...
... Managers (Mutual Funds, Pensions, Endowments). Responsible for the distribution of derivative ideas ... risk using tradable instruments (including vanilla options and a large variety of other market ...
... Managers (Mutual Funds, Pensions, Endowments). Responsible for the distribution of derivative ideas ... risk using tradable instruments (including vanilla options and a large variety of other market ...
Derivatives Sales Trader
Manhattan, NY · On-site
This role combines client-facing sales responsibility with trading and risk expertise, requiring ... Structure, price, and manage listed equity derivative trades (single stock, ETF, index options) on ...
Derivatives Sales Trader
Manhattan, NY · On-site
This role combines client-facing sales responsibility with trading and risk expertise, requiring ... Structure, price, and manage listed equity derivative trades (single stock, ETF, index options) on ...
Derivatives Sales Trader
New York, NY · On-site
This role combines client-facing sales responsibility with trading and risk expertise, requiring ... Structure, price, and manage listed equity derivative trades (single stock, ETF, index options) on ...
Derivatives Sales Trader
New York, NY · On-site
This role combines client-facing sales responsibility with trading and risk expertise, requiring ... Structure, price, and manage listed equity derivative trades (single stock, ETF, index options) on ...
... Managers (Mutual Funds, Pensions, Endowments). Responsible for the distribution of derivative ideas ... risk using tradable instruments (including vanilla options and a large variety of other market ...
... Managers (Mutual Funds, Pensions, Endowments). Responsible for the distribution of derivative ideas ... risk using tradable instruments (including vanilla options and a large variety of other market ...
... Managers (Mutual Funds, Pensions, Endowments). Responsible for the distribution of derivative ideas ... risk using tradable instruments (including vanilla options and a large variety of other market ...
... Managers (Mutual Funds, Pensions, Endowments). Responsible for the distribution of derivative ideas ... risk using tradable instruments (including vanilla options and a large variety of other market ...
Derivatives Sales Trader
Manhattan, NY · On-site
This role combines client-facing sales responsibility with trading and risk expertise, requiring ... Structure, price, and manage listed equity derivative trades (single stock, ETF, index options) on ...
Quick apply
Derivatives Sales Trader
Manhattan, NY · On-site
This role combines client-facing sales responsibility with trading and risk expertise, requiring ... Structure, price, and manage listed equity derivative trades (single stock, ETF, index options) on ...
Communicate risk view to senior management and represent IBR in senior forums with key stakeholders ... Expertise in Equity Derivatives products (vanilla and exotic OTC derivatives, QIS and hybrids ...
Communicate risk view to senior management and represent IBR in senior forums with key stakeholders ... Expertise in Equity Derivatives products (vanilla and exotic OTC derivatives, QIS and hybrids ...
Vice President, US Equity Risk Management
Manhattan, NY · On-site
$150K - $180K/yr
... derivatives. Position Overview The US Equity Risk Management Analyst (Vice President) is integrated into the global RM Equity team, responsible for Equity Solution and GRI (Global Repo and Indexing ...
Vice President, US Equity Risk Management
Manhattan, NY · On-site
$150K - $180K/yr
... derivatives. Position Overview The US Equity Risk Management Analyst (Vice President) is integrated into the global RM Equity team, responsible for Equity Solution and GRI (Global Repo and Indexing ...
In-Business Risk Structurer for Equity Derivatives, Vice President
Manhattan, NY · On-site
$175K - $250K/yr
Communicate risk view to senior management and be able to articulate and defend a divergent view ... Working knowledge of Equity Derivatives products (vanilla and exotic OTC derivatives, QIS and ...
In-Business Risk Structurer for Equity Derivatives, Vice President
Manhattan, NY · On-site
$175K - $250K/yr
Communicate risk view to senior management and be able to articulate and defend a divergent view ... Working knowledge of Equity Derivatives products (vanilla and exotic OTC derivatives, QIS and ...
In-Business Risk Structurer for Equity Derivatives, Vice President
New York, NY · On-site
$175K - $250K/yr
The candidate should have a working knowledge of institutional risk management techniques and ... Equity Derivatives products (vanilla and exotic OTC derivatives, QIS and hybrids). Skills:
In-Business Risk Structurer for Equity Derivatives, Vice President
New York, NY · On-site
$175K - $250K/yr
The candidate should have a working knowledge of institutional risk management techniques and ... Equity Derivatives products (vanilla and exotic OTC derivatives, QIS and hybrids). Skills:
Equity Derivative Risk Manager information
See salary details
$51.5K - $62.3K
4% of jobs
$62.3K - $73K
6% of jobs
$73K - $83.8K
11% of jobs
$87.9K is the 25th percentile. Wages below this are outliers.
$83.8K - $94.6K
11% of jobs
The median wage is $103.2K / yr.
$94.6K - $105.4K
23% of jobs
$105.4K - $116.1K
13% of jobs
$123.2K is the 75th percentile. Wages above this are outliers.
$116.1K - $126.9K
12% of jobs
$126.9K - $137.7K
8% of jobs
$137.7K - $148.5K
6% of jobs
$148.5K - $159.2K
4% of jobs
$159.2K - $170K
2% of jobs
$51.5K
$111.6K
$170K
How much do equity derivative risk manager jobs pay per year?
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For Equity Derivative Risk Manager jobs, the most frequently searched job titles are:

Associate, Corporate Interest Rate Derivatives
New York, NY • On-site
Full-time
Medical, Dental, Vision, Life, Retirement, PTO
Re-posted 16 days ago
Job description
Derivative Path empowers institutions across the capital markets with innovative, AI-driven technology and expert advisory solutions. Our award-winning cloud platform and advisory teams support banks, credit unions, private equity firms, hedge funds, asset managers, corporations, and insurance companies in managing interest rate, FX, and commodity risks, optimizing hedging strategies, and streamlining cross-border payments. With a client base spanning over 250 institutions, we deliver scalable solutions that enhance risk management and drive operational performance. Through strategic partnerships with Goldman Sachs, Wells Fargo, FNBO, Q2, and Jack Henry, we provide best-in-class capabilities to help clients achieve their financial objectives in an ever-evolving market.
With a team of seasoned professionals comprised of decades of industry experience, Derivative Path offers a flexible, hybrid work environment to its 125+ employees with the ability to work remotely and from one of four offices in San Francisco, New York, Chicago, and Manila. The Company is dedicated to building a diverse environment and has an unwavering commitment to creating a sense of belonging for all employees.
The Opportunity
We are looking for a talented individual to join our Risk Solutions group. In this role, you will be an integral part of providing risk solutions services, transaction execution services, and general client coverage support to private equity, corporate, and other non-bank end user clients of DP. Reporting to the Managing Director, Risk Solutions, you will also provide input and generate ideas for new and enhanced functionality within EDGE that will be beneficial to DP and its clients. The ideal candidate will feel at ease working in a lean environment where their contribution is critical and valued. This is a difference making role with a high level of responsibility, input, and visibility to high profile clients of DP.
What You Will Do
- Assist in all aspects of client coverage including risk identification and analysis, hedge strategy generation, pricing and analytics, trade execution, ongoing hedge portfolio maintenance and reporting needs, etc.
- Directly interact with clients to discuss the risks at play, potential hedging solutions, hedge outcomes, etc.
- Directly interact with hedge banks and other relationship partners of clients to drive transaction processes
- Prepare client marketing materials, market updates, educational materials, etc.
- Assist in idea generation related to enhancements to EDGE and assist in testing related to enhancements which are due for future releases
- Lead internal and pre-trade / post-trade processes such as client onboarding, documentation, confirmations, valuations, etc.
- Provide ad-hoc support to senior members of the Risk Solutions group and other team members across the firm
Requirements
- 1-3+ years of derivatives experience at a bank or within a private equity firm focusing on derivatives and capital markets
- Prior experience pricing, analyzing, and executing interest rate derivatives is required; functional experience with all of interest rate, cross-currency, and FX derivatives is a plus
- Experience discussing and negotiating all aspects of transaction charges including market bid/ask and XVA (bilateral CVA, funding, regulatory capital) and solid understanding of the key drivers of those transaction charges
- Experience with and understanding of private equity derivative activity is a plus
- Strong communication, presentation, and written skills
- Ability to work in a fast-paced, deadline driven, dynamic work environment; can manage multiple competing priorities
- Desire to increase responsibility, take on additional roles, and expand skill set over time
- Exceptional attention to detail
- Highly collaborative with proven ability to work with internal teammates, customers, and external vendors
- Proud of the work you do and receptive to constructive feedback
- Superior skills in Microsoft Office - PowerPoint, Excel, Word
- Experience with Bloomberg as well as other derivatives pricing and risk systems
Location
- NYC, Hybrid
Benefits
- Base salary, equity, and annual bonus as part of the compensation package
- 40 hours of sick leave
- 18 days of PTO
- Paid parental leave
- 401K contribution at 3%
- Competitive health benefits including HSA & FSA options, life insurance, and short-term disability
Derivative Path is an equal opportunity employer and does not discriminate based on any of the following: race, religious creed, color, age, sex, sexual orientation, gender identity, gender expression or gender characteristic, national origin, religion, marital status, medical condition, physical or mental disability, military service or veteran status, pregnancy, childbirth and related medical conditions, or any other classification protected by federal, state, and local laws and ordinances. Derivative Path offers a comprehensive benefits package, including health, dental, vision, retirement plan, contribution, and a generous paid time off policy. As part of Derivative Path's hiring process, interviews and evaluations may be conducted using AI-assisted technology.
About Derivative Path
Sourced by ZipRecruiter
Industry
Finance and insurance
Company size
11 - 50 Employees
Headquarters location
Walnut Creek, CA, US
Year founded
2013