... Manager to join Global Risk Management. In this role, you will own the development of quantitative analysis tools that power our risk management capabilities across credit, market, and liquidity risk.
... Manager to join Global Risk Management. In this role, you will own the development of quantitative analysis tools that power our risk management capabilities across credit, market, and liquidity risk.
Funding & Liquidity Manager
OR · On-site +1
As the Funding & Liquidity Manager, you will own the Bank's day-to-day funding and liquidity ... You will partner closely with Finance, Risk, Lending, Deposit Product, Operations, Accounting, and ...
Funding & Liquidity Manager
OR · On-site +1
As the Funding & Liquidity Manager, you will own the Bank's day-to-day funding and liquidity ... You will partner closely with Finance, Risk, Lending, Deposit Product, Operations, Accounting, and ...
... Manager to join Global Risk Management. In this role, you will own the development of quantitative analysis tools that power our risk management capabilities across credit, market, and liquidity risk.
Quick apply
... Manager to join Global Risk Management. In this role, you will own the development of quantitative analysis tools that power our risk management capabilities across credit, market, and liquidity risk.
Liquidity Risk Management Consultant - New York, NY (Hybrid - 2 days onsite per week)
New York, NY · On-site
Our client is seeking a Liquidity Risk Management Consultant who brings a strong mix of technical and functional expertise. While the title emphasizes Liquidity Risk, the role requires hands-on ...
Quick apply
Liquidity Risk Management Consultant - New York, NY (Hybrid - 2 days onsite per week)
New York, NY · On-site
Our client is seeking a Liquidity Risk Management Consultant who brings a strong mix of technical and functional expertise. While the title emphasizes Liquidity Risk, the role requires hands-on ...
VP, US Cash Equities Risk Manager
Manhattan, NY · On-site
$175K - $200K/yr
... liquidity risk, operational risk, conduct risk, technology and data controls, new business review ... Oversee and risk manage relevant US Cash Equities desk / portfolios in accordance with Group risk ...
New
VP, US Cash Equities Risk Manager
Manhattan, NY · On-site
$175K - $200K/yr
... liquidity risk, operational risk, conduct risk, technology and data controls, new business review ... Oversee and risk manage relevant US Cash Equities desk / portfolios in accordance with Group risk ...
New
Markets Liquidity Research & Analytics, Vice President
Manhattan, NY · On-site
$137K - $215K/yr
This role will require managing relationships with Liquidity Risk Technology, Regional Treasury teams, Corporate Treasury, Liquidity Risk Management, Quantitative Research and Product groups to ...
Markets Liquidity Research & Analytics, Vice President
Manhattan, NY · On-site
$137K - $215K/yr
This role will require managing relationships with Liquidity Risk Technology, Regional Treasury teams, Corporate Treasury, Liquidity Risk Management, Quantitative Research and Product groups to ...
Treasury Risk Analyst
Manhattan, NY · On-site
$100K - $130K/yr
Collect, analyze, and scrutinize liquidity risk data from various departments, and update stress test scenarios, assumptions, and contingency funding plan. * Implement other risk management ...
Quick apply
Treasury Risk Analyst
Manhattan, NY · On-site
$100K - $130K/yr
Collect, analyze, and scrutinize liquidity risk data from various departments, and update stress test scenarios, assumptions, and contingency funding plan. * Implement other risk management ...
Treasury Risk Analyst
Manhattan, NY · On-site
Collect, analyze, and scrutinize liquidity risk data from various departments, and update stress test scenarios, assumptions, and contingency funding plan. * Implement other risk management ...
Treasury Risk Analyst
Manhattan, NY · On-site
Collect, analyze, and scrutinize liquidity risk data from various departments, and update stress test scenarios, assumptions, and contingency funding plan. * Implement other risk management ...
Company Description A Major International Bank in Midtown Manhattan is seeking a Liquidity Risk ... Support, manage and organize electronic data in core banking systems. Responsible for conducting ...
Company Description A Major International Bank in Midtown Manhattan is seeking a Liquidity Risk ... Support, manage and organize electronic data in core banking systems. Responsible for conducting ...
Treasury Risk Analyst
Manhattan, NY · On-site
$100K - $130K/yr
Collect, analyze, and scrutinize liquidity risk data from various departments, and update stress test scenarios, assumptions, and contingency funding plan. * Implement other risk management ...
Treasury Risk Analyst
Manhattan, NY · On-site
$100K - $130K/yr
Collect, analyze, and scrutinize liquidity risk data from various departments, and update stress test scenarios, assumptions, and contingency funding plan. * Implement other risk management ...
As the Funding & Liquidity Manager, you will own the Bank's day-to-day funding and liquidity ... You will partner closely with Finance, Risk, Lending, Deposit Product, Operations, Accounting, and ...
As the Funding & Liquidity Manager, you will own the Bank's day-to-day funding and liquidity ... You will partner closely with Finance, Risk, Lending, Deposit Product, Operations, Accounting, and ...
As a key member of CTC & Liquidity Risk Reporting-a global team within the Risk Reporting Middle Office-you will support the firm's risk management strategy amid evolving market conditions by ...
As a key member of CTC & Liquidity Risk Reporting-a global team within the Risk Reporting Middle Office-you will support the firm's risk management strategy amid evolving market conditions by ...
This role will require managing relationships with Liquidity Risk Technology, Regional Treasury teams, Corporate Treasury, Liquidity Risk Management, Quantitative Research and Product groups to ...
This role will require managing relationships with Liquidity Risk Technology, Regional Treasury teams, Corporate Treasury, Liquidity Risk Management, Quantitative Research and Product groups to ...
This role will require managing relationships with Liquidity Risk Technology, Regional Treasury teams, Corporate Treasury, Liquidity Risk Management, Quantitative Research and Product groups to ...
This role will require managing relationships with Liquidity Risk Technology, Regional Treasury teams, Corporate Treasury, Liquidity Risk Management, Quantitative Research and Product groups to ...
The GLM team is responsible for establishing and maintaining effective liquidity management and liquidity risk management frameworks and processes globally across all lines of business and legal ...
The GLM team is responsible for establishing and maintaining effective liquidity management and liquidity risk management frameworks and processes globally across all lines of business and legal ...
As a key member of CTC & Liquidity Risk Reporting-a global team within the Risk Reporting Middle Office-you will support the firm's risk management strategy amid evolving market conditions by ...
As a key member of CTC & Liquidity Risk Reporting-a global team within the Risk Reporting Middle Office-you will support the firm's risk management strategy amid evolving market conditions by ...
Assists in review of funding and liquidity management functions. \n * Supports the development and coordination of periodical risk monitoring activities, including liquidity risk. \n * Generates and ...
Assists in review of funding and liquidity management functions. \n * Supports the development and coordination of periodical risk monitoring activities, including liquidity risk. \n * Generates and ...
The GLM team is responsible for establishing and maintaining effective liquidity management and liquidity risk management frameworks and processes globally across all lines of business and legal ...
The GLM team is responsible for establishing and maintaining effective liquidity management and liquidity risk management frameworks and processes globally across all lines of business and legal ...
As a key member of CTC & Liquidity Risk Reporting-a global team within the Risk Reporting Middle Office-you will support the firm's risk management strategy amid evolving market conditions by ...
As a key member of CTC & Liquidity Risk Reporting-a global team within the Risk Reporting Middle Office-you will support the firm's risk management strategy amid evolving market conditions by ...
Investment Risk Manager - Liquidity
New York, NY · Hybrid
$175K - $190K/yr
As a forward thinking asset manager, we build dynamic relationships with clients, understand their ... About the Department The Liquidity Risk function plays a critical role in providing independent ...
Investment Risk Manager - Liquidity
New York, NY · Hybrid
$175K - $190K/yr
As a forward thinking asset manager, we build dynamic relationships with clients, understand their ... About the Department The Liquidity Risk function plays a critical role in providing independent ...
Liquidity Risk Manager information
See salary details
$23K - $30.2K
4% of jobs
$30.2K - $37.5K
10% of jobs
$43.3K is the 25th percentile. Wages below this are outliers.
$37.5K - $44.7K
14% of jobs
$44.7K - $51.9K
16% of jobs
The median wage is $58.1K / yr.
$51.9K - $59.1K
7% of jobs
$59.1K - $66.4K
10% of jobs
$70K is the 75th percentile. Wages above this are outliers.
$66.4K - $73.6K
29% of jobs
$73.6K - $80.8K
4% of jobs
$80.8K - $88K
3% of jobs
$88K - $95.3K
1% of jobs
$95.3K - $102.5K
2% of jobs
$23K
$61.4K
$102.5K
How much do liquidity risk manager jobs pay per year?
What does a liquidity risk manager do?

Full-time
Re-posted 10 hours ago
Job description
Anchorage Digital is a crypto platform that enables institutions to participate in digital assets through custody, staking, trading, governance, settlement, and the industry's leading security infrastructure. Home to Anchorage Digital Bank N.A., the first federally chartered crypto bank in the U.S., Anchorage Digital also serves institutions through Anchorage Digital Singapore, Porto by Anchorage Digital, and other offerings.
The company is funded by leading institutions including Andreessen Horowitz, GIC, Goldman Sachs, KKR, and Visa, with its Series D valuation over $3 billion. Founded in 2017 in San Francisco, California, Anchorage Digital has offices in New York, New York; Porto, Portugal; Singapore; and Sioux Falls, South Dakota. Learn more at anchorage.com, on X @Anchorage, and on LinkedIn.
With the evolving landscape of digital threats and an increasing volume of sophisticated attacks by malicious actors, we have a security policy mandating all new hires complete an in-person onboarding process - no exceptions. Security is our foundation and we prioritize physical identity verification and secure IT setup. While our security and IT logistics require physical presence to protect our infrastructure from sophisticated global threats, this move is equally about our Village culture. We believe that a laptop can be shipped, but our culture cannot.
- Anchorage Digital is looking for a Quantitative Financial Risk Manager to join Global Risk Management. In this role, you will own the development of quantitative analysis tools that power our risk management capabilities across credit, market, and liquidity risk.
- This is a high-impact, hands-on quantitative role where you will build scalable analytics infrastructure, run real-time analysis when the business needs answers fast, and stress test portfolios under a range of scenarios. You will work at the intersection of financial theory, data science, and engineering. If you thrive in ambiguity, are relently curious, and want to shape how a leading digital asset institution manages risk, this role is for you.
- People make this organization, and in this role, it is your mission to cultivate and contribute to a culture of risk management, continuous improvement, and strategic innovation. A healthy outcome is a business that is both agile and resilient, capable of navigating the complexities of the crypto market while achieving its strategic goals.
Technical Skills:
- Design, build, and maintain quantitative analysis tools for credit, market, and liquidity risk assessment
- Build scalable analytics pipelines in Python to automate reporting, data transformation, and real-time risk monitoring
- Execute portfolio margin stress tests and scenario analysis under tight timelines, delivering actionable insights to stakeholders
Complexity and Impact of Work:
- Lead end-to-end development of quantitative analysis tools from problem definition through production deployment with minimal oversight
- Run ad-hoc real-time analysis when the business needs answers fast and deliver under pressure
- Navigate ambiguous risk problems by selecting appropriate quantitative methods and articulating trade-offs to stakeholders
- Break down large projects into manageable workstreams, accurately estimate scope, and deliver on commitments
Organizational Knowledge:
- Collaborate closely with Trading, Sales, Compliance, Treasury, and Operations to ensure risk analysis and tools are embedded in business decisions
- Monitor industry trends, regulatory developments, and emerging best practices in quantitative risk management
- Sharing insights across teams to ensure broad understanding and adoption
Communication and Influence:
- Translate complex quantitative concepts into clear, actionable insights for technical and non-technical audiences
- Mentor junior team members on quantitative methods, analytics tooling, and professional development
- Build relationships across teams to drive adoption of risk frameworks and influence how the organization thinks about risk
You may be a fit for this role if you have:
- 8+ years of experience in quantitative finance, financial risk management, or a related quantitative discipline
- Advanced degree (Master's or PhD) in a quantitative field
- Proven track record of building quantitative analysis tools for risk management (credit, market, liquidity risk)
- You ask questions, dig into the data, and proactively explore new angles; you're not satisfied with surface-level answers
- Deep expertise in risk monitoring and reporting, including experience building or operating real-time risk dashboards and producing executive-level risk reports
- Experience with portfolio stress testing and scenario analysis in a professional setting
- Experience working with large datasets and analytical tools to support risk analysis
- Experience with regulators and regulatory exams
- You drive initiatives independently, proactively identify and solve problems, and take accountability for results
Although not a requirement, bonus points if:
- You have experience with digital assets, crypto, or blockchain-related financial products
- You have an understanding of operational risk and how it intersects with credit, market, and liquidity risk
- You were emotionally moved by the soundtrack to Hamilton, which chronicles the founding of a new financial system. :)
About Anchorage Digital: Who we are
The Anchorage Village, what we call our team, brings together the brightest minds from platform security, financial services, and distributed ledger technology to provide the building blocks that empower institutions to safely participate in the evolving digital asset ecosystem. As a diverse team of more than 600 members, we are united in one common goal: building the future of finance by providing the foundation upon which value moves safely in the new global economy.
Anchorage Digital is committed to being a welcoming and inclusive workplace for everyone, and we are intentional about making sure people feel respected, supported, and connected at work-regardless of who you are or where you come from. We value and celebrate our differences and we believe being open about who we are allows us to do the best work of our lives.
Anchorage Digital is an Equal Opportunity Employer. We are committed to equal employment opportunity regardless of race, color, ancestry, religion, sex, national origin, sexual orientation, age, citizenship, marital status, disability, gender identity or veteran status. Anchorage Digital considers qualified applicants regardless of criminal histories, consistent with other legal requirements. "Anchorage Digital" refers to services that are offered either through Anchorage Digital Bank National Association, an OCC-chartered national trust bank, or Anchorage Lending CA, LLC a finance lender licensed by the California Department of Financial Protection and Innovation, License No. 60DBO-11976, or Anchorage Digital Singapore Pte Ltd, a Singapore private limited company, all wholly-owned subsidiaries of Anchor Labs, Inc., a Delaware corporation.
Protecting your privacy rights is important to Anchorage Digital, and we work to maintain the trust and confidence of our clients when handling personal or financial information. Please see our privacy policy notices here.
We may use artificial intelligence (AI) tools to support parts of the hiring process, such as reviewing applications, analyzing resumes, or assessing responses and identifying potential inconsistencies or verification signals in application materials based on available information. These tools assist our recruitment team but do not replace human judgment. Final hiring decisions are ultimately made by humans. If you would like more information about how your data is processed, please contact us.
About Anchorage Digital
Sourced by ZipRecruiter
Industry
Finance and insurance
Company size
201 - 500 Employees
Headquarters location
San Francisco, CA, US
Year founded
2017