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Financial Risk Management Jobs in Long Beach, CA

Partner closely with Legal, HR, IT, Finance, and Operations leadership to guide risk-related ... Lead renewal strategies, negotiations, and claims management with brokers and carriers. * Analyze ...

RISK MANAGEMENT ANALYST

Beverly Hills, CA · On-site

$38.46 - $43.27/hr

Bachelor's degree in Finance, Economics, Mathematics, Statistics, Risk Management, or related field * Approximately 1-2 years of experience, including internships in the Insurance or Risk Management ...

Program Design, Innovation & Alternative Risk Financing Develop and evolve insurance products and risk management solutions that balance Netflix's risk philosophy with business and operational needs ...

Program Design, Innovation & Alternative Risk Financing Develop and evolve insurance products and risk management solutions that balance Netflix's risk philosophy with business and operational needs ...

Program Design, Innovation & Alternative Risk Financing * Develop and evolve insurance products and risk management solutions that balance Netflix's risk philosophy with business and operational ...

Program Design, Innovation & Alternative Risk Financing * Develop and evolve insurance products and risk management solutions that balance Netflix's risk philosophy with business and operational ...

Program Design, Innovation & Alternative Risk Financing * Develop and evolve insurance products and risk management solutions that balance Netflix's risk philosophy with business and operational ...

Program design, innovation, and alternative risk financing * Develop and evolve insurance products and risk management solutions that balance Netflix's risk philosophy with business and operational ...

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Financial Risk Management information

See Long Beach, CA salary details

$54.2K

$117.3K

$178.8K

How much do financial risk management jobs pay per year?

As of Aug 9, 2026, the average yearly pay for financial risk management in Long Beach, CA is $117,298.00, according to ZipRecruiter salary data. Most workers in this role earn between $94,600.00 and $135,600.00 per year, depending on experience, location, and employer.

What is financial risk management?

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.

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 financial risk management?

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.

What are careers in financial risk management?

Careers in financial risk management involve identifying, analyzing, and mitigating financial risks faced by organizations, such as credit, market, and operational risks. Professionals in this field often work with risk assessment tools, financial models, and regulatory compliance, and may hold certifications like FRM or CFA. These roles are common in banks, investment firms, insurance companies, and corporate finance departments.

Is risk management in finance a good career?

Financial risk management is a valuable career that involves identifying and mitigating financial risks using quantitative analysis and risk modeling tools. It offers strong job prospects, competitive salaries, and opportunities for advancement, especially for those with certifications like FRM or CFA. The role requires analytical skills, attention to detail, and the ability to work under pressure in a dynamic environment.
What job categories do people searching Financial Risk Management jobs in Long Beach, CA look for? The top searched job categories for Financial Risk Management jobs in Long Beach, CA are:
What cities near Long Beach, CA are hiring for Financial Risk Management jobs? Cities near Long Beach, CA with the most Financial Risk Management job openings:
Infographic showing various Financial Risk Management job openings in Long Beach, CA as of August 2026, with employment types broken down into 1% As Needed, 83% Full Time, 13% Part Time, and 3% Contract. Highlights an 87% Physical, 3% Hybrid, and 10% Remote job distribution, with an average salary of $117,298 per year, or $56.4 per hour.

$139K - $170K/yr

Full-time

Re-posted yesterday


Walt Disney Company rating

7.7

Company rating: 7.7 out of 10

Based on 128 frontline employees who took The Breakroom Quiz

5th of 51 rated entertainment


Job description

The Corporate Treasury group of The Walt Disney Company is responsible for managing financial risk and ensuring adequate liquidity for the Company. Treasury oversees bank relationships, foreign exchange (FX) and interest rate hedging programs, financial risk management, financing and capital raising activities, cash management, enterprise consumer payments and directs the investment of retirement assets.

The FX Risk Management team is responsible for managing the Company’s global foreign currency and commodities exposures and related hedging strategies, to mitigate risk and volatility in the Company’s earnings. Additionally, the team manages international liquidity, repatriation efforts and financing needs for the Company’s international subsidiaries.

What you Will Do

The Manager, Foreign Exchange Risk Management is a key member of the Treasury organization and will play a central role in overseeing Disney’s global FX hedging programs. This role combines financial market expertise, derivatives execution and strong communication, judgment, and leadership skills.

The Manager will own core FX risk management processes, lead analytical and communication workstreams, and partner closely with internal stakeholders across Finance, Accounting, FP&A, and business segments. In addition, the Manager will have people management responsibilities and be responsible for the management and development of Analysts and Senior Analysts on the team. There will be opportunities to collaborate with the other Financial Markets groups within Treasury (such as Capital Markets and Pension/Investments).

Specific responsibilities for the Manager, Foreign Exchange Risk Management will include:

  • Overseeing all day‑to‑day aspects of Disney’s global FX hedging programs, including review and enhancement of reporting and analysis used to monitor exposures and positions
  • Managing the FX derivatives portfolio, including data management and documentation, and partnering closely with Accounting to ensure appropriate hedge designation
  • Executing foreign exchange hedge contracts and maintaining hedge coverage in accordance with market dynamics and risk management policy
  • Overseeing continuing process improvements, including leveraging technology and automation where appropriate
  • Leading FX-related forecasting, analysis, and communication, including estimating FX impacts to business-level P&L forecasts as well as enterprise forecasts and earnings-related disclosures
  • Supporting senior Treasury and Finance leadership with analysis and presentations, including preparation for internal Financial Risk Management Committee meetings
  • Managing external relationships related to FX risk management, including banking partners
  • Directly managing and developing Analysts and Senior Analysts, including mentorship and supporting their long-term career growth

Required Qualifications & Skills

  • At least 5+ years of relevant experience in a finance role, such as treasury, financial risk management, FP&A, or capital markets
  • Interest in the financial markets, including derivatives and hedging strategies
  • Experience analyzing and communicating financial impacts to non-technical stakeholders
  • Proven ability to manage complex workstreams, prioritize competing deadlines, and exercise sound judgment
  • Strong written and verbal communication skills, including experience preparing materials for senior leadership; willingness to make recommendations and comfortable operating in ambiguity
  • Intellectual curiosity and desire to learn new concepts
  • Demonstrated people‑management or team‑leadership experience, or clear readiness to step into a people manager role
  • Advanced proficiency in Excel; experience with data analysis, automation, or visualization tools is a plus

Preferred Qualifications

  • Experience in investment banking, corporate treasury, or finance within a large, global corporate environment
  • Familiarity with derivatives accounting and experience collaborating with accounting teams on FX-related matters

Education

  • Bachelor’s degree in Finance, Economics, Business Administration, or a related field
  • Advanced degree (MBA or similar), preferred

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#twdcmedia


The hiring range for this position in Burbank, CA is $139,200 - $170,000 per year. The base pay actually offered will take into account internal equity and also may vary depending on the candidate’s geographic region, job-related knowledge, skills, and experience among other factors. A bonus and/or long-term incentive units may be provided as part of the compensation package, in addition to the full range of medical, financial, and/or other benefits, dependent on the level and position offered.

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About Walt Disney

Sourced by ZipRecruiter

At Disney, we're storytellers. We make the impossible, possible. We do this through utilizing and developing cutting-edge technology and pushing the envelope to bring stories to life through our movies, products, interactive games, parks and resorts, and media networks. Now is your chance to join our talented team that delivers unparalleled creative content to audiences around the world. "We create happiness." That's our motto at Walt Disney Parks and Resorts. And it permeates everything we do. At Disney, you'll help inspire that magic by enabling our teams to push the limits of entertainment and create the never-before-seen!

Industry

Amusement, gambling, and recreation

Company size

10,000+ Employees

Headquarters location

Burbank, CA, US

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