You will lead the operational risk and financial risk focus areas, translating the complexities of fractional equities, stock loan activities, and liquidity management into a cohesive Enterprise Risk ...
You will lead the operational risk and financial risk focus areas, translating the complexities of fractional equities, stock loan activities, and liquidity management into a cohesive Enterprise Risk ...
Vice President Enterprise Risk Management
New York, NY · On-site
$160K - $190K/yr
Leveraging our 350-year heritage, MSIG USA brings the financial strength, expertise, and global ... Position Summary: The Quantitative Enterprise Risk Manager plays a key role in advancing the ...
Vice President Enterprise Risk Management
New York, NY · On-site
$160K - $190K/yr
Leveraging our 350-year heritage, MSIG USA brings the financial strength, expertise, and global ... Position Summary: The Quantitative Enterprise Risk Manager plays a key role in advancing the ...
Operational & Non-Financial Risk * Support the ongoing enhancement of non-financial risk frameworks, including operational risk, governance, and risk event management. * Contribute to risk ...
Operational & Non-Financial Risk * Support the ongoing enhancement of non-financial risk frameworks, including operational risk, governance, and risk event management. * Contribute to risk ...
Job Title Consultant | Financial Risk Management | Anti-Money Laundering Work Location & Reporting Address Jersey City, NJ 7302 Vendor Rate XXX/Hr. Contract duration 6 Target Start Date 27 Apr 2026 ...
Job Title Consultant | Financial Risk Management | Anti-Money Laundering Work Location & Reporting Address Jersey City, NJ 7302 Vendor Rate XXX/Hr. Contract duration 6 Target Start Date 27 Apr 2026 ...
Integrate financial risk insights (including capital and asset-liability considerations) into management reporting. Contribute to ORSA and regulatory risk requirements. Facilitate cross-functional ...
Integrate financial risk insights (including capital and asset-liability considerations) into management reporting. Contribute to ORSA and regulatory risk requirements. Facilitate cross-functional ...
Credit Risk Management Supervisor, North America
Iselin, NJ · On-site
$81K - $93K/yr
The position requires sound financial judgment, a solid understanding of legal enforcement processes, and the ability to manage complex risk scenarios in close collaboration with internal and ...
Credit Risk Management Supervisor, North America
Iselin, NJ · On-site
$81K - $93K/yr
The position requires sound financial judgment, a solid understanding of legal enforcement processes, and the ability to manage complex risk scenarios in close collaboration with internal and ...
Credit Risk Management Supervisor, North America
Iselin, NJ · On-site
$81K - $93K/yr
The position requires sound financial judgment, a solid understanding of legal enforcement processes, and the ability to manage complex risk scenarios in close collaboration with internal and ...
Credit Risk Management Supervisor, North America
Iselin, NJ · On-site
$81K - $93K/yr
The position requires sound financial judgment, a solid understanding of legal enforcement processes, and the ability to manage complex risk scenarios in close collaboration with internal and ...
Credit Risk Management Supervisor, North America
Iselin, NJ · On-site
$81K - $93K/yr
The position requires sound financial judgment, a solid understanding of legal enforcement processes, and the ability to manage complex risk scenarios in close collaboration with internal and ...
Credit Risk Management Supervisor, North America
Iselin, NJ · On-site
$81K - $93K/yr
The position requires sound financial judgment, a solid understanding of legal enforcement processes, and the ability to manage complex risk scenarios in close collaboration with internal and ...
The position requires sound financial judgment, a solid understanding of legal enforcement processes, and the ability to manage complex risk scenarios in close collaboration with internal and ...
The position requires sound financial judgment, a solid understanding of legal enforcement processes, and the ability to manage complex risk scenarios in close collaboration with internal and ...
QuickBooks solutions simplify financial management, enabling our customers to operate with ... We require a financial risk expert to manage and develop new risk capabilities and policies like ...
QuickBooks solutions simplify financial management, enabling our customers to operate with ... We require a financial risk expert to manage and develop new risk capabilities and policies like ...
QuickBooks solutions simplify financial management, enabling our customers to operate with ... We require a financial risk expert to manage and develop new risk capabilities and policies like ...
QuickBooks solutions simplify financial management, enabling our customers to operate with ... We require a financial risk expert to manage and develop new risk capabilities and policies like ...
Vice President Enterprise Risk Management
$160K - $190K/yr
Leveraging our 350-year heritage, MSIG USA brings the financial strength, expertise, and global ... Position Summary: The Quantitative Enterprise Risk Manager plays a key role in advancing the ...
Vice President Enterprise Risk Management
$160K - $190K/yr
Leveraging our 350-year heritage, MSIG USA brings the financial strength, expertise, and global ... Position Summary: The Quantitative Enterprise Risk Manager plays a key role in advancing the ...
Vice President Enterprise Risk Management
$160K - $190K/yr
Leveraging our 350-year heritage, MSIG USA brings the financial strength, expertise, and global ... Position Summary: The Quantitative Enterprise Risk Manager plays a key role in advancing the ...
Vice President Enterprise Risk Management
$160K - $190K/yr
Leveraging our 350-year heritage, MSIG USA brings the financial strength, expertise, and global ... Position Summary: The Quantitative Enterprise Risk Manager plays a key role in advancing the ...
Head of Americas Global Banking Business Risk Management
New York, NY · On-site
$172K - $207K/yr
... management activities, specifically to: • support delivery of the first line ... non financial risk and supervisory framework across AMER Global Banking • act as a point of ...
Head of Americas Global Banking Business Risk Management
New York, NY · On-site
$172K - $207K/yr
... management activities, specifically to: • support delivery of the first line ... non financial risk and supervisory framework across AMER Global Banking • act as a point of ...
QuickBooks solutions simplify financial management, enabling our customers to operate with ... We require a financial risk expert to manage and develop new risk capabilities and policies like ...
QuickBooks solutions simplify financial management, enabling our customers to operate with ... We require a financial risk expert to manage and develop new risk capabilities and policies like ...
Risk Manager - RCSA & Controls
Manhattan, NY · Hybrid
$60 - $70/hr
Support risk governance, issue management, and regulatory compliance initiatives. * Prepare risk ... Preferred * Prior experience supporting large financial services organizations. * Exposure to ...
Quick apply
Risk Manager - RCSA & Controls
Manhattan, NY · Hybrid
$60 - $70/hr
Support risk governance, issue management, and regulatory compliance initiatives. * Prepare risk ... Preferred * Prior experience supporting large financial services organizations. * Exposure to ...
Head of Risk Management
New York, NY · On-site
$275K - $325K/yr
We are a global B2B financial technology organization dedicated to democratizing access to ... Risk Lifecycle Management: Standardize and lead core ERM components: Risk & Control Self ...
Head of Risk Management
New York, NY · On-site
$275K - $325K/yr
We are a global B2B financial technology organization dedicated to democratizing access to ... Risk Lifecycle Management: Standardize and lead core ERM components: Risk & Control Self ...
Market Risk Manager
Jersey City, NJ · On-site
S. and global financial markets, knowledge of risk management frameworks (VaR, Backtest, Stress test), current regulatory developments and issues affecting the industry * Ability to build and manage ...
Market Risk Manager
Jersey City, NJ · On-site
S. and global financial markets, knowledge of risk management frameworks (VaR, Backtest, Stress test), current regulatory developments and issues affecting the industry * Ability to build and manage ...
Market Risk Manager
Jersey City, NJ · On-site
S. and global financial markets, knowledge of risk management frameworks (VaR, Backtest, Stress test), current regulatory developments and issues affecting the industry * Ability to build and manage ...
Market Risk Manager
Jersey City, NJ · On-site
S. and global financial markets, knowledge of risk management frameworks (VaR, Backtest, Stress test), current regulatory developments and issues affecting the industry * Ability to build and manage ...
Partner with the Financial Planning & Analysis (FP&A) department and business leadership to ... Oversee and strengthen operational risk management, including Risk and Control Self-Assessments ...
Partner with the Financial Planning & Analysis (FP&A) department and business leadership to ... Oversee and strengthen operational risk management, including Risk and Control Self-Assessments ...
Financial Risk Management information
See New York salary details
$56.3K - $68.1K
4% of jobs
$68.1K - $79.9K
6% of jobs
$79.9K - $91.7K
11% of jobs
$96.1K is the 25th percentile. Wages below this are outliers.
$91.7K - $103.5K
11% of jobs
The median wage is $112.9K / yr.
$103.5K - $115.3K
23% of jobs
$115.3K - $127.1K
13% of jobs
$134.8K is the 75th percentile. Wages above this are outliers.
$127.1K - $138.8K
12% of jobs
$138.8K - $150.6K
8% of jobs
$150.6K - $162.4K
6% of jobs
$162.4K - $174.2K
4% of jobs
$174.2K - $186K
2% of jobs
$56.3K
$122K
$186K
How much do financial risk management jobs pay per year?
What is a Financial Risk Management job?
A Financial Risk Management job involves identifying, assessing, and mitigating risks that could impact a company's financial health. Professionals in this field analyze market trends, credit risks, and operational risks to develop strategies that protect assets and profitability. They use financial modeling, risk assessment tools, and regulatory guidelines to ensure compliance and minimize potential losses. Common roles include risk analysts, credit risk managers, and compliance officers in industries like banking, insurance, and investment firms.
How much does a risk manager get paid?
What are the typical career advancement opportunities for someone in Financial Risk Management?
Professionals in Financial Risk Management often start as analysts or associates and can progress to roles such as Risk Manager, Senior Risk Analyst, or Director of Risk Management with experience and proven expertise. Career advancement typically involves taking on greater responsibility for complex risk analysis, decision-making, and leading teams or projects. Earning specialized certifications and gaining exposure to different risk disciplines (such as market risk, credit risk, or operational risk) can also accelerate career growth. Many organizations provide opportunities for cross-functional collaboration, which helps develop leadership and strategic planning skills important for moving into executive-level positions.
What are the key skills and qualifications needed to thrive in the Financial Risk Management position, and why are they important?
To thrive in Financial Risk Management, you need a strong analytical background, proficiency in financial modeling, and typically a degree in finance, economics, or a related field. Familiarity with risk assessment software, data analytics tools like Excel or SQL, and certifications such as FRM (Financial Risk Manager) or CFA are highly valued. Excellent problem-solving skills, attention to detail, and strong communication abilities help professionals effectively present risks and collaborate with stakeholders. These competencies are crucial for accurately identifying, analyzing, and mitigating financial risks to support an organization's financial health.
Is risk management high paying?
What is a financial risk management job?

Other
Posted 28 days ago
Job description
About the Role
As the Head of Enterprise Risk Management (ERM) at DriveWealth, you will serve as the architect of a world-class risk infrastructure for the pioneer of "Brokerage-as-a-Service." In an era where financial services are increasingly embedded and API-driven, your role is to ensure that our global expansion is supported by a sophisticated, scalable, and resilient risk ecosystem.
This is a high-impact leadership role requiring a candidate who can bridge the gap between traditional brokerage risk and the future of digital assets. You will lead the operational risk and financial risk focus areas, translating the complexities of fractional equities, stock loan activities, and liquidity management into a cohesive Enterprise Risk Management framework. You are not just monitoring risk; you are enabling sustainable innovation by providing the Chief Risk and Compliance Officer and Executive Management with the clarity needed to navigate volatile global markets.
What You'll Do
- Framework Design: Establish and iterate on the firm-wide ERM program, including the enhancement of the Risk Appetite Statements and associated tolerance thresholds.
- Risk Lifecycle Management: Standardize and lead core ERM components: Risk & Control Self-Assessments (RCSAs), Risk Policy creation, and a centralized Issue Management framework.
- Control Assurance: Design and oversee a rigorous control assurance program to validate the effectiveness of risk mitigants across all business units, coordinate external SOC and ICOC assessments.
- Reporting: Develop sophisticated Key Risk Indicators (KRIs) and executive-level dashboards to provide real-time transparency into the firm's risk posture.
- Liquidity Risk: Oversee the firm's liquidity risk management framework, ensuring compliance with SEC Rule 15c3-1 and maintaining resilience during idiosyncratic or market-wide stress events.
- Margin & Credit Risk: Monitor and set parameters for margin lending, focusing on concentration risk, volatility-based margin adjustments, and the management of unsecured debits.
- Stock Loan & Trading Risk: Provide 2LoD oversight for Securities Lending (Stock Loan) activities and principal trading risks associated with fractional share fulfillment.
- Risk Operations: Build and lead the risk operations functional area, including vendor risk management, partner and client due diligence.
You Bring
- Experience: 10-15 years in Risk Management, with a minimum of 5 years in a senior leadership capacity at a FINRA-registered Broker-Dealer or adjacent financial technology firm.
- Financial Mastery: Proven track record in managing Liquidity, Margin, and Trading risk is essential.
- Licensing: Relevant FINRA licenses (e.g., Series 7, 24) are highly preferred; Series 4 or 9/10 is a significant plus.
- Mindset: An "owner" mentality with the ability to build from the ground up in a fast-paced, high-growth environment.
- Digital Asset Expertise (Bonus): Direct experience or deep theoretical knowledge of Stablecoins and Crypto risk, including custodial risk, settlement finality, and 24/7 liquidity challenges.
- Options Proficiency (Nice-to-Have): Familiarity with the risk profiles of equity options, including the monitoring of Greeks, multi-leg strategy exposures, and specialized margin requirements.