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Global Risk Manager Jobs in California (NOW HIRING)

* Maintain and oversee all FX Middle Office functions for the Global FX Solutions department ... Produce management information, business insights, and ad hoc analysis to support FX risk oversight ...

* Maintain and oversee all FX Middle Office functions for the Global FX Solutions department ... Produce management information, business insights, and ad hoc analysis to support FX risk oversight ...

Demonstrated experience in a global role, managing insurance programs across multiple international ... Familiarity with alternative risk transfer mechanisms Travel Required : 10%

Sr. Risk Manager (28696)

San Jose, CA · On-site

$123K - $140K/yr

Our unprecedented global expansion has provided us with the opportunity to offer a large number of ... Your expertise will directly impact our risk management strategy and guide key decisions across the ...

Our unprecedented global expansion has provided us with the opportunity to offer a large number of ... Your expertise will directly impact our risk management strategy and guide key decisions across the ...

S. security and promote global stability. Our mission spans four critical national security areas ... We are seeking a Senior Risk Manager to develop, implement, and lead risk assessments for ...

S. security and promote global stability. Our mission spans four critical national security areas ... We are seeking a Senior Risk Manager to develop, implement, and lead risk assessments for ...

Insurance Risk Manager

San Francisco, CA · On-site

$158K - $194K/yr

Demonstrated experience in a global role, managing insurance programs across multiple international ... Familiarity with alternative risk transfer mechanisms Travel Required : 10% The expected base ...

S. security and promote global stability. Our mission spans four critical national security areas ... We are seeking a Senior Risk Manager to develop, implement, and lead risk assessments for ...

Insurance Risk Manager

Mountain View, CA · On-site +1

$158K - $194K/yr

Demonstrated experience in a global role, managing insurance programs across multiple international ... Familiarity with alternative risk transfer mechanisms Travel Required : 10% The expected base ...

Insurance Risk Manager

San Francisco, CA · On-site +1

$158K - $194K/yr

Demonstrated experience in a global role, managing insurance programs across multiple international ... Familiarity with alternative risk transfer mechanisms Travel Required : 10% The expected base ...

WAM Investment Risk Manager

Pasadena, CA · Hybrid

$175K - $200K/yr

From our welcoming, inclusive, and flexible culture to our global and diverse business, we provide ... risk management within the financial services industry. Technical Skills Expertise in riskfactor ...

WAM Investment Risk Manager

Pasadena, CA · On-site

$175K - $200K/yr

From our welcoming, inclusive, and flexible culture to our global and diverse business, we provide ... risk management within the financial services industry. Technical Skills • Expertise in risk ...

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Global Risk Manager information

See California salary details

$50.8K

$110.1K

$167.8K

How much do global risk manager jobs pay per year?

As of Jun 10, 2026, the average yearly pay for global risk manager in California is $110,095.00, according to ZipRecruiter salary data. Most workers in this role earn between $88,800.00 and $127,300.00 per year, depending on experience, location, and employer.

What does a Global Risk Manager do?

A Global Risk Manager is responsible for identifying, assessing, and mitigating risks that could impact an organization's operations across multiple countries or regions. They analyze financial, strategic, operational, and compliance risks, and develop strategies to minimize potential losses. This role often involves coordinating with different departments, monitoring international regulations, and ensuring that the company is prepared for geopolitical, economic, or environmental disruptions. Global Risk Managers play a critical role in maintaining business continuity and supporting informed decision-making at the executive level.

What is the difference between Global Risk Manager vs Risk Analyst?

AspectGlobal Risk ManagerRisk Analyst
CredentialsTypically requires advanced degrees (e.g., MBA, risk management certifications)Often requires a bachelor's degree, some certifications preferred
Work EnvironmentStrategic, overseeing risk across multiple regions or departmentsAnalytical, focused on data assessment and reporting
Employer & Industry UsageUsed in multinational corporations, finance, insuranceCommon in finance, banking, and consulting firms

The Global Risk Manager focuses on strategic risk oversight across global operations, requiring advanced credentials and a broad perspective. In contrast, the Risk Analyst concentrates on data analysis and risk assessment at a more operational level. Both roles are essential in risk management but differ in scope and responsibilities.

How does a Global Risk Manager typically collaborate with other departments to ensure comprehensive risk mitigation across international operations?

A Global Risk Manager works closely with various departments such as compliance, legal, finance, operations, and IT to identify, assess, and mitigate risks that could impact the organization's global activities. This collaboration often involves regular cross-functional meetings, sharing of risk assessments, and developing unified risk management strategies. Effective communication and relationship-building skills are essential, as the role requires aligning diverse teams with differing regional regulations and business practices. By fostering a collaborative environment, Global Risk Managers help ensure that all potential risks are addressed proactively, keeping the company compliant and resilient across borders.

What are the key skills and qualifications needed to thrive as a Global Risk Manager, and why are they important?

To thrive as a Global Risk Manager, you need strong analytical skills, deep knowledge of risk assessment methodologies, and a relevant degree in finance, business, or risk management. Expertise in risk management software (like RSA Archer or SAP GRC), familiarity with international regulations, and certifications such as FRM or CRM are often required. Exceptional communication, critical thinking, and cross-cultural collaboration abilities set top candidates apart in this role. These skills ensure effective identification, mitigation, and communication of global risks, protecting organizational assets and reputation.
What are popular job titles related to Global Risk Manager jobs in California? For Global Risk Manager jobs in California, the most frequently searched job titles are:
What job categories do people searching Global Risk Manager jobs in California look for? The top searched job categories for Global Risk Manager jobs in California are:
What cities in California are hiring for Global Risk Manager jobs? Cities in California with the most Global Risk Manager job openings:
Infographic showing various Global Risk Manager job openings in California as of June 2026, with employment types broken down into 85% Full Time, 13% Part Time, 1% Temporary, and 1% Contract. Highlights an 92% Physical, 2% Hybrid, and 6% Remote job distribution, with an average salary of $110,095 per year, or $52.9 per hour.

Senior Global FX Risk Manager

Hope Bank

Los Angeles, CA

$130K - $170K/yr

Full-time

Posted 23 days ago


Job description

  • Maintain and oversee all FX Middle Office functions for the Global FX Solutions department, ensuring strong control frameworks, operational integrity, and readiness for multiple annual internal and external audits and regulatory reviews.
  • Oversee daytoday operational support for FX activities, including trade processing, lifecycle events, certifications, client service issues, and escalation of material operational or control risks.
  • Monitor FX trade lifecycle events, market and counterparty exposures, margin requirements, collateral movements, and limit utilization, escalating issues as appropriate.
  • Support daily FX position, valuation, and P&L reporting, including reconciliation with Front Office, review and challenge of unexplained P&L, and support of valuation adjustments and reserves.
  • Identify, assess, and escalate operational, market, and valuation risks, acting as a firstline risk owner and contributing to the development and monitoring of FX KPIs, KRIs, and control metrics.
  • Drive continuous process improvement by identifying opportunities to streamline workflows, reduce manual processing, enhance automation, and improve control effectiveness.
  • Collaborate on regulatory and compliance initiatives and reporting requirements (including MiFID II, EMIR, DoddFrank, and UMR), ensuring timely, accurate submissions and adherence to evolving regulatory standards.
  • Act as a key liaison with Front Office, Back Office, Risk, Compliance, Finance, Internal Audit, and Technology teams to resolve FX trade, valuation, and controlrelated issues.
  • Perform and oversee daily, monthly, and quarterly reconciliations between Front Office and Back Office systems, investigating and resolving breaks with internal stakeholders or external counterparties.
  • Ensure compliance with all bank policies, governance standards, and regulatory requirements, including BSA, KYC, CRA, Fair Lending, Code of Conduct, and new product approval processes.
  • Conduct and manage Quality Assurance (QA) exams, own the QA framework, track findings, and ensure timely remediation and closure of issues.
  • Produce management information, business insights, and ad hoc analysis to support FX risk oversight, senior management reporting, and strategic decisionmaking.
  • Support and lead automation initiatives, system enhancements, and process reengineering efforts in partnership with Technology and Operations teams.
  • Participate in system upgrades, platform migrations, UAT testing, and new product or market rollouts, ensuring robust middleoffice controls and postimplementation validation.
  • Perform additional projects and initiatives as assigned, including support for strategic change programs, regulatory remediation, and business growth initiatives.

Job Qualifications/Requirements

Education/Credentials

  • Bachelor’s or master’s degree in related field, such as finance, business management, economics, and statistics.

Prior Experience

  • 7-10 year banking or financial services industry experience

Skills

  • Strong understanding of financial market dynamics and FX market structure
  • Proficient in FX products and instruments, including FX wire, spot, forwards, swaps, and NDFs
  • Deep knowledge of the FX trade lifecycle and regulatory environment
  • Excellent verbal and written communication skills
  • Well-organized with the ability to manage multiple priorities effectively
  • Familiar with trading and data platforms such as Bloomberg, Reuters, and single-dealer platforms
  • Advanced proficiency in Excel and Microsoft Office; experience with macros/VBA is a plus
  • Professional certifications (e.g., CFA, FRM, or relevant operations credentials) are a plus

The salary range for this full-time position is $130,000.00 annually - $170,000.00 annually + bonus + benefits 

Salary ranges are determined based on qualifications, level, and location. 

Exact compensation may vary based on your skills and experience.

Bank of Hope is an equal employment opportunity employer and does not discriminate on the basis of race, color, gender, religion, age, sexual orientation, genetic information, national or ethnic origin, disability, marital status, veteran status or any other basis protected by federal, state, or local law.