In this role, you will leverage a diverse skill set including finance, technology, product expertise, & risk management to design and deliver solutions to support the Firm's existing & new business ...
In this role, you will leverage a diverse skill set including finance, technology, product expertise, & risk management to design and deliver solutions to support the Firm's existing & new business ...
In this role, you will leverage a diverse skill set including finance, technology, product expertise, & risk management to design and deliver solutions to support the Firm's existing & new business ...
In this role, you will leverage a diverse skill set including finance, technology, product expertise, & risk management to design and deliver solutions to support the Firm's existing & new business ...
In this role, you will leverage a diverse skill set including finance, technology, product expertise, & risk management to design and deliver solutions to support the Firm's existing & new business ...
In this role, you will leverage a diverse skill set including finance, technology, product expertise, & risk management to design and deliver solutions to support the Firm's existing & new business ...
... building financial projection models, and evaluation of various quantitative metrics and ... Present findings and recommendations to senior management and answer questions relating to analysis ...
... building financial projection models, and evaluation of various quantitative metrics and ... Present findings and recommendations to senior management and answer questions relating to analysis ...
S. or foreign equivalent) in Finance, Accounting, Financial Risk Management, Business Analytics, or a related field, and three (3) years of experience in the job offered or in a related role. Prior ...
S. or foreign equivalent) in Finance, Accounting, Financial Risk Management, Business Analytics, or a related field, and three (3) years of experience in the job offered or in a related role. Prior ...
... building financial projection models, and evaluation of various quantitative metrics and ... Present findings and recommendations to senior management and answer questions relating to analysis ...
... building financial projection models, and evaluation of various quantitative metrics and ... Present findings and recommendations to senior management and answer questions relating to analysis ...
... building financial projection models, and evaluation of various quantitative metrics and ... Present findings and recommendations to senior management and answer questions relating to analysis ...
... building financial projection models, and evaluation of various quantitative metrics and ... Present findings and recommendations to senior management and answer questions relating to analysis ...
S. or foreign equivalent) in Finance, Accounting, Financial Risk Management, Business Analytics, or a related field, and three (3) years of experience in the job offered or in a related role. Prior ...
S. or foreign equivalent) in Finance, Accounting, Financial Risk Management, Business Analytics, or a related field, and three (3) years of experience in the job offered or in a related role. Prior ...
... risk, and serve as subject matter experts on a wide array of financial instruments. If you are ... Manage, analyze, and maintain complex financial models in Excel to support the organization ...
New
... risk, and serve as subject matter experts on a wide array of financial instruments. If you are ... Manage, analyze, and maintain complex financial models in Excel to support the organization ...
New
S. or foreign equivalent) in Finance, Accounting, Financial Risk Management, Business Analytics, or a related field, and three (3) years of experience in the job offered or in a related role. Prior ...
S. or foreign equivalent) in Finance, Accounting, Financial Risk Management, Business Analytics, or a related field, and three (3) years of experience in the job offered or in a related role. Prior ...
... risk, and serve as subject matter experts on a wide array of financial instruments. If you are ... Manage, analyze, and maintain complex financial models in Excel to support the organization ...
New
... risk, and serve as subject matter experts on a wide array of financial instruments. If you are ... Manage, analyze, and maintain complex financial models in Excel to support the organization ...
New
... risk, and serve as subject matter experts on a wide array of financial instruments. If you are ... Manage, analyze, and maintain complex financial models in Excel to support the organization ...
New
... risk, and serve as subject matter experts on a wide array of financial instruments. If you are ... Manage, analyze, and maintain complex financial models in Excel to support the organization ...
New
... risk, and serve as subject matter experts on a wide array of financial instruments. If you are ... Manage, analyze, and maintain complex financial models in Excel to support the organization ...
... risk, and serve as subject matter experts on a wide array of financial instruments. If you are ... Manage, analyze, and maintain complex financial models in Excel to support the organization ...
Senior Manager - Value Chain Optimization - Enterprise Operations & Risk Our Deloitte Regulatory ... Experience with financial modeling-capable of quantifying value and benefits through rigorous ...
Senior Manager - Value Chain Optimization - Enterprise Operations & Risk Our Deloitte Regulatory ... Experience with financial modeling-capable of quantifying value and benefits through rigorous ...
... financial risk management and its conformance with regulatory requirements; analyzing market and financial data using data analysis and data visualization techniques to assess the likelihood and ...
... financial risk management and its conformance with regulatory requirements; analyzing market and financial data using data analysis and data visualization techniques to assess the likelihood and ...
... financial risk management and its conformance with regulatory requirements; analyzing market and financial data using data analysis and data visualization techniques to assess the likelihood and ...
... financial risk management and its conformance with regulatory requirements; analyzing market and financial data using data analysis and data visualization techniques to assess the likelihood and ...
... financial risk management and its conformance with regulatory requirements; analyzing market and financial data using data analysis and data visualization techniques to assess the likelihood and ...
... financial risk management and its conformance with regulatory requirements; analyzing market and financial data using data analysis and data visualization techniques to assess the likelihood and ...
We create modern financial solutions, from checking and lending to payments and beyond, designed to ... Manager and cross-functional leaders to define business strategy, risk appetite, and long-term ...
We create modern financial solutions, from checking and lending to payments and beyond, designed to ... Manager and cross-functional leaders to define business strategy, risk appetite, and long-term ...
... Manager and cross-functional leaders to define business strategy, risk appetite, and long-term ... Partner with Product, Engineering, Data Science, Compliance, Legal, and Finance to integrate risk ...
... Manager and cross-functional leaders to define business strategy, risk appetite, and long-term ... Partner with Product, Engineering, Data Science, Compliance, Legal, and Finance to integrate risk ...
The Risk Management Division provides integrated risk management services for the Church and its ... Incumbents must demonstrate a well-grounded knowledge of financial and accounting theory and a ...
The Risk Management Division provides integrated risk management services for the Church and its ... Incumbents must demonstrate a well-grounded knowledge of financial and accounting theory and a ...
Financial Risk Manager information
See Layton, UT salary details
$46.8K - $56.6K
4% of jobs
$56.6K - $66.4K
6% of jobs
$66.4K - $76.2K
11% of jobs
$79.8K is the 25th percentile. Wages below this are outliers.
$76.2K - $85.9K
11% of jobs
The median wage is $93.7K / yr.
$85.9K - $95.7K
23% of jobs
$95.7K - $105.5K
13% of jobs
$112K is the 75th percentile. Wages above this are outliers.
$105.5K - $115.3K
12% of jobs
$115.3K - $125.1K
8% of jobs
$125.1K - $134.9K
6% of jobs
$134.9K - $144.7K
4% of jobs
$144.7K - $154.5K
2% of jobs
$46.8K
$101.4K
$154.5K
How much do financial risk manager jobs pay per year?
What are the key skills and qualifications needed to thrive as a Financial Risk Manager, and why are they important?
What are some common challenges Financial Risk Managers face when working with cross-functional teams?
What does a Financial Risk Manager do?
What is the difference between Financial Risk Manager vs Credit Analyst?
| Aspect | Financial Risk Manager | Credit Analyst |
|---|---|---|
| Certifications | FRM, CFA | Fitch, CFA |
| Work Environment | Financial institutions, banks, investment firms | Banks, lending institutions, credit agencies |
| Primary Focus | Assessing and managing overall financial risks | Evaluating creditworthiness of borrowers |
| Industry Usage | Risk management departments, trading floors | Loan 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.

Other
Posted 17 days ago
Goldman Sachs rating
8.3
Based on 25 frontline employees who took The Breakroom Quiz
29th of 141 rated banks
Job description
Controllers Divisional Overview:
Controllers ensure that the firm meets all the financial control and reporting obligations of a global, regulated and public financial institution. In the Controllers Department, our professionals measure the profitability of, and risks associated with, every aspect of the firm's business. Controllers also ensure that the firm's activities are conducted in compliance with the regulations governing transactions in the financial markets.
Global Lending Controllers:
A group within the broader Controllers organization responsible for reporting, analyzing and providing commentary on the firm's lending products ranging from corporate to consumer related activities.
Your Impact:
The Team is looking for an Analyst to join its Lending team. In this role, you will leverage a diverse skill set including finance, technology, product expertise, & risk management to design and deliver solutions to support the Firm's existing & new business initiatives. In addition, you will analyze profitability and capital usage as a risk manager of the Firm. You will be in the driver seat partnering with cross-functional stakeholders to solve a variety of challenges ranging from integrating new businesses to automation of existing workflows. A self-starter mentality is preferred as our group is constantly reacting to changes in the regulatory environment to help analyze capital & reporting impacts of prospective deals.
Principal Responsibilities:
- Partner with businesses, risk & regulatory counterparts to understand the impacts of various business activities, then work with engineering to convert technological requirements
- Adapt to a variety of project management methodologies such as Agile, Iterative and Waterfall to manage the development lifecycle of new technology with engineering counterparts
- Coordinate across Technology, Project Managers, Risk & Others to identify enhancements & improve workflows that lead to automation, capital reduction and/or more transparent risk management practices
- Develop strong knowledge of regulatory rules and product functionality across the loan product segment in order to onboard, support, and manage ongoing and new business activities
- Manage daily, monthly, and quarterly P&L and capital reporting to build knowledge and expertise across various Lending business lines
- Become the subject matter expert to advise on accounting, capital, regulatory, Controllers infrastructure & reporting considerations across various lending products
Qualifications:
- Bachelor's degree
- Accounting Background preferred.
- Proficient in Microsoft Office (Microsoft Excel, PowerPoint etc.).
- Strong written and presentation skills.
- Strong analytical and control mindset.
- Ability to handle multiple, time-sensitive projects while focusing on the quality of work delivered
- Experience with JIRA, Agile, SQL a plus
What Goldman Sachs employees say
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About Goldman Sachs
Sourced by ZipRecruiter
At Goldman Sachs, we commit our people, capital and ideas to help our clients, shareholders and the communities we serve to grow. Founded in 1869, we are a leading global investment banking, securities and investment management firm. Headquartered in New York, we maintain offices around the world. We believe who you are makes you better at what you do. We're committed to fostering and advancing diversity and inclusion in our own workplace and beyond by ensuring every individual within our firm has a number of opportunities to grow professionally and personally, from our training and development opportunities and firmwide networks to benefits, wellness and personal finance offerings and mindfulness programs.
Industry
Finance and insurance
Company size
10,000+ Employees
Headquarters location
New York, NY, US
Year founded
1869