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Financial Risk Manager Jobs in Austin, TX (NOW HIRING)

Partner closely with Operations, Compliance, Legal, and Finance to integrate risk management smoothly into daily workflows. Qualifications * Bachelor's degree or equivalent from an accredited ...

Partner closely with Operations, Compliance, Legal, and Finance to integrate risk management smoothly into daily workflows. Qualifications * Bachelor's degree or equivalent from an accredited ...

Risk Manager

Austin, TX · On-site

$120 - $170/hr

Partner closely with Operations, Compliance, Legal, and Finance to integrate risk management smoothly into daily workflows. Qualifications * Bachelor's degree or equivalent from an accredited ...

New

Risk Manager

Austin, TX · On-site

$87 - $122/hr

Financial security & retirement: employer-matched 403(b), planning and hardship resources ... Evaluate risk management functions and process through the use of data capture, follow up and trend ...

New

Risk Manager

Austin, TX · On-site

$87K/yr

Financial security & retirement: employer-matched 403(b), planning and hardship resources ... Evaluate risk management functions and process through the use of data capture, follow up and trend ...

Risk Manager

Austin, TX · Remote

$87K - $121K/yr

Evaluate risk management functions and process through the use of data capture, follow up and trend ... Ascension will never ask for payment or to provide banking or financial information as part of the ...

AFC's finance solutions work with more than 12,000 independent dealerships across North America ... You will be part of the AFC team responsible for portfolio management, risk mitigation, team member ...

Who are we? At Finastra, we're a global leader in financial services software, dedicated to ... The ideal candidate brings strong risk management expertise, a practical understanding of ...

Strong Excel skills (VLOOKUPs, pivot tables) Operational/Financial Risk Experience * 2-4+ years in operational risk, risk assessments, incident or issues management, or operational controls

Strong Excel skills (VLOOKUPs, pivot tables) Operational/Financial Risk Experience * 2-4+ years in operational risk, risk assessments, incident or issues management, or operational controls

All Options is looking for a Risk Manager to join our team in Austin, TX. You will be at the center ... Bachelor's degree in a quantitative field such as STEM, Statistics, Economics, or Finance * Hands ...

The Insurance Risk Manager reports to Chief Financial Officer and is a regular, full-time position, eligible for our generous employee benefits package, including employer paid health insurance, paid ...

All Options is looking for a Risk Manager to join our team in Austin, TX. You will be at the center ... Bachelor's degree in a quantitative field such as STEM, Statistics, Economics, or Finance

All Options is looking for a Risk Manager to join our team in Austin, TX. You will be at the center ... Bachelor's degree in a quantitative field such as STEM, Statistics, Economics, or Finance * Hands ...

Risk Analytics Manager

Austin, TX · On-site

$100 - $130/hr

Netspend's financial products and services span prepaid, debit, cross-border payments, and loyalty ... About the Role The Risk Data Analytics team is looking for a manager to help the team with building ...

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Financial Risk Manager information

See Austin, TX salary details

$51K

$110.5K

$168.5K

How much do financial risk manager jobs pay per year?

As of Sep 4, 2026, the average yearly pay for financial risk manager in Austin, TX is $110,549.00, according to ZipRecruiter salary data. Most workers in this role earn between $89,200.00 and $127,800.00 per year, depending on experience, location, and employer.

What does a financial risk manager do?

A Financial Risk Manager (FRM) is responsible for identifying, analyzing, and mitigating financial risks within an organization. Their work involves assessing threats related to credit, market, operational, and liquidity risk, and developing strategies to minimize potential losses. FRMs use quantitative analysis, financial modeling, and risk assessment tools to advise decision-makers on risk exposures. They play a vital role in ensuring that a company remains compliant with financial regulations and maintains financial stability.

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

To thrive as a Financial Risk Manager, you need a strong background in finance, quantitative analysis, and risk assessment, typically supported by a relevant degree and certifications like FRM or CFA. Expertise in risk modeling software, statistical tools such as SAS or R, and financial reporting systems is highly valued. Exceptional analytical thinking, attention to detail, and effective communication skills set top performers apart in this role. These skills and qualities are crucial for accurately identifying, assessing, and mitigating financial risks to protect organizational assets and ensure regulatory compliance.

What are some common challenges financial risk managers face when working with cross-functional teams?

Financial Risk Managers often collaborate with departments such as treasury, compliance, and IT to identify and mitigate risks. One common challenge is aligning risk management strategies with diverse departmental goals, which may sometimes conflict with each other. Effective communication and negotiation skills are essential to ensure all stakeholders understand the risk implications of their decisions. Additionally, adapting to rapidly changing regulations and market conditions can create pressure to quickly update risk models and processes.

What is the difference between Financial Risk Manager vs Credit Analyst?

AspectFinancial Risk ManagerCredit Analyst
CertificationsFRM, CFAFitch, CFA
Work EnvironmentFinancial institutions, banks, investment firmsBanks, lending institutions, credit agencies
Primary FocusAssessing and managing overall financial risksEvaluating creditworthiness of borrowers
Industry UsageRisk management departments, trading floorsLoan departments, credit risk units

While both roles involve financial analysis, a Financial Risk Manager focuses on identifying and mitigating broad financial risks across an organization, often requiring advanced certifications like FRM or CFA. A Credit Analyst specializes in assessing individual borrowers' creditworthiness to inform lending decisions. Both roles are vital in financial institutions but serve different strategic purposes.

Do financial risk managers make good money?

Financial risk managers typically earn competitive salaries that vary by industry, experience, and location. According to industry data, median annual pay often exceeds $100,000, with senior roles and certifications like FRM or CFA increasing earning potential. They also benefit from bonuses and other incentives based on performance and risk management success.

Is it hard to become a financial risk manager?

Becoming a financial risk manager typically requires a strong background in finance, economics, or related fields, along with relevant certifications such as the FRM or CFA. The role involves developing analytical skills, understanding financial models, and often gaining experience in risk analysis or financial analysis, which can take several years of education and work experience to achieve.

Is risk management in finance a good career?

A career as a financial risk manager involves analyzing and mitigating financial risks for organizations, often requiring strong analytical skills, knowledge of financial instruments, and certifications like FRM or CFA. It offers opportunities in banking, investment firms, and corporations, with a focus on quantitative analysis and regulatory compliance. The role can be rewarding for those interested in finance and risk assessment, with a stable job outlook and competitive salary potential.

What are popular job titles related to Financial Risk Manager jobs in Austin, TX?

For Financial Risk Manager jobs in Austin, TX, the most frequently searched job titles are:

What job categories do people searching Financial Risk Manager jobs in Austin, TX look for?

The top searched job categories for Financial Risk Manager jobs in Austin, TX are:

What cities near Austin, TX are hiring for Financial Risk Manager jobs?

Cities near Austin, TX with the most Financial Risk Manager job openings:

Infographic showing various Financial Risk Manager job openings in Austin, TX as of August 2026, with employment types broken down into 87% Full Time, 11% Part Time, and 2% Contract. Highlights an 83% Physical, 2% Hybrid, and 15% Remote job distribution, with an average salary of $110,549 per year, or $53.1 per hour.

Senior Treasury Manager - Financial Risk and Liquidity

Globalfoundries

Austin, TX

$130K - $254K/yr

Full-time

Posted 21 days ago


Key responsibilities

  • Lead global foreign exchange, commodity, and interest rate hedging programs.

  • Oversee global liquidity management and develop cash pooling structures.

  • Manage relationships with external investment managers and monitor portfolio performance.


GlobalFoundries rating

8.3

Company rating: 8.3 out of 10

Based on 35 frontline employees who took The Breakroom Quiz

66th of 545 rated manufacturers


Job description

About GlobalFoundries:

GlobalFoundries is a leading full-service semiconductor foundry providing a unique combination of design, development, and fabrication services to some of the world's most inspired technology companies. With a global manufacturing footprint spanning three continents, GlobalFoundries makes possible the technologies and systems that transform industries and give customers the power to shape their markets. For more information, visit www.gf.com.

Summary of Role:

The Senior Treasury Manager is responsible for leading the company's financial risk management, liquidity strategy, banking infrastructure, investment oversight, treasury technology initiatives, and executive reporting. This role serves as a key advisor to the VP Treasurer and partners across Finance, Accounting, Tax, Procurement, Legal, IT, and business units to protect earnings, cash flow, liquidity, and shareholder value.

Essential Responsibilities:

Financial Risk Management

  • Lead global foreign exchange, commodity, and interest rate hedging programs.
  • Identify, quantify, monitor, and mitigate financial market risks.
  • Develop and execute hedging strategies using approved derivative instruments.
  • Manage hedge performance, effectiveness, compliance, and reporting.
  • Partner with Accounting to support hedge accounting and financial disclosures.
  • Deliver market intelligence, risk analytics, and scenario planning to senior leadership.

Liquidity & Cash Management

  • Oversee global liquidity management
  • Develop cash pooling structure to improve efficiencies, return and intercompany funding arrangements.
  • Ensure sufficient liquidity to support operating, investing, and financing requirements.
  • Drive working capital and cash utilization improvements.

Investment Portfolio Oversight

  • Manage relationships with external investment managers and advisors.
  • Monitor portfolio performance, compliance, risk metrics, and investment guidelines.
  • Recommend portfolio strategies that balance liquidity, safety, and return objectives.
  • Present investment performance and outlook to executive management.

Banking & Counterparty Management

  • Lead global banking strategy and relationship management.
  • Front office - Design and maintain bank account, cash pooling, and treasury operating structures.
  • Conduct bank reviews, fee analyses, and RFP processes.
  • Monitor counterparty exposure and establish appropriate credit limits and controls.
  • Ensure compliance with treasury policies and approved counterparty requirements.

Treasury Systems & Digital Transformation - Front Office

  • Serve as Treasury business lead for treasury workstation implementation and enhancements.
  • Lead integration of treasury processes and data flows into SAP and related financial systems.
  • Define system requirements, reporting needs, controls, automation opportunities, and process improvements.
  • Partner with IT and vendors to optimize treasury operations and data visibility.

Executive Reporting & Governance

  • Prepare monthly treasury reports for executive leadership.
  • Report on liquidity, investments, market risks, hedging programs, and counterparty exposure.
  • Maintain and enhance treasury policies, controls, and governance frameworks.

Strategic Support & Leadership

  • Support the VP Treasurer on strategic initiatives and special projects.
  • Lead cross-functional treasury and finance projects from assessment through implementation.
  • Provide financial modeling, benchmarking, and executive-level analysis.
  • Mentor treasury team members and contribute to organizational development and succession planning.

Required Qualifications

  • Bachelor's degree in Finance, Accounting, Economics, Business Administration, or a related field.
  • 5+ years of progressive experience in corporate treasury, financial risk management, capital markets, or a related finance function.
  • Demonstrated expertise in foreign exchange, commodity, and interest rate risk management.
  • Strong understanding of global liquidity management, cash management, investments, banking structures, and treasury operations.
  • Experience working with Treasury Management Systems (TMS) and SAP or other ERP platforms.
  • Strong analytical, financial modeling, and problem-solving skills.
  • Excellent communication and stakeholder management skills, with the ability to influence senior leaders and external financial institutions.

Preferred Qualifications

  • MBA, CFA, CTP, or other relevant professional certification.
  • Experience supporting multinational treasury operations in a global organization.
  • Experience leading treasury technology implementations and process transformation initiatives.
  • Knowledge of treasury accounting, hedge accounting, and financial reporting requirements.
  • Proven ability to lead cross-functional projects and drive process improvements in complex business environments.

Expected Salary Range

$130,000.00 - $254,000.00

The exact Salary will be determined based on qualifications, experience and location.

If you need a reasonable accommodation for any part of the employment process, please contact us by email at usaccommodations@gf.com and let us know the nature of your request and your contact information. Requests for accommodation will be considered on a case-by-case basis. Please note that only inquiries concerning a request for reasonable accommodation will be responded to from this email address.

An offer with GlobalFoundries is conditioned upon the successful completion of pre-employment conditions, as applicable, and subject to applicable laws and regulations.

GlobalFoundries is fully committed to equal opportunity in the workplace and believes that cultural diversity within the company enhances its business potential. GlobalFoundries goal of excellence in business necessitates the attraction and retention of highly qualified people. Artificial barriers and stereotypic biases detract from this objective and may be illegally discriminatory.

All policies and processes which pertain to employees including recruitment, selection, training, utilization, promotion, compensation, benefits, extracurricular programs, and termination are created and implemented without regard to age, ethnicity, ancestry, color, marital status, medical condition, mental or physical disability, national origin, race, religion, political and/or third-party affiliation, sex, sexual orientation, gender identity or expression, veteran status, or any other characteristic or category specified by local, state or federal law


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