Department of Labor Group Details Tradeweb is seeking a Risk Management Vice President to support its Model Risk Governance and Model Management framework. Reporting to the Head of Financial Risk ...
Department of Labor Group Details Tradeweb is seeking a Risk Management Vice President to support its Model Risk Governance and Model Management framework. Reporting to the Head of Financial Risk ...
Risk Management - Quant Model Risk Associate
Manhattan, NY · On-site
$135K - $150K/yr
Our culture in Risk Management and Compliance is all about thinking outside the box, challenging the status quo and striving to be best-in-class. As a Quant Model Risk Associate in the Model Risk ...
Risk Management - Quant Model Risk Associate
Manhattan, NY · On-site
$135K - $150K/yr
Our culture in Risk Management and Compliance is all about thinking outside the box, challenging the status quo and striving to be best-in-class. As a Quant Model Risk Associate in the Model Risk ...
Our culture in Risk Management and Compliance is all about thinking outside the box, challenging the status quo and striving to be best-in-class. As a Quant Model Risk Associate in the Model Risk ...
Our culture in Risk Management and Compliance is all about thinking outside the box, challenging the status quo and striving to be best-in-class. As a Quant Model Risk Associate in the Model Risk ...
Our culture in Risk Management and Compliance is all about thinking outside the box, challenging the status quo and striving to be best-in-class. As a Quant Model Risk Associate in the Model Risk ...
Our culture in Risk Management and Compliance is all about thinking outside the box, challenging the status quo and striving to be best-in-class. As a Quant Model Risk Associate in the Model Risk ...
As a Model Risk Management - Program Management - Associate, you'll support the management of model risk, governance activities are conducted to identify, measure, and mitigate model risk in the firm.
As a Model Risk Management - Program Management - Associate, you'll support the management of model risk, governance activities are conducted to identify, measure, and mitigate model risk in the firm.
Risk Management - Program Management - Senior Associate
Manhattan, NY · On-site
$92K - $134K/yr
As a Model Risk Management - Program Management - Associate, you'll support the management of model risk, governance activities are conducted to identify, measure, and mitigate model risk in the firm.
Risk Management - Program Management - Senior Associate
Manhattan, NY · On-site
$92K - $134K/yr
As a Model Risk Management - Program Management - Associate, you'll support the management of model risk, governance activities are conducted to identify, measure, and mitigate model risk in the firm.
As a Model Risk Management - Program Management - Associate, you'll support the management of model risk, governance activities are conducted to identify, measure, and mitigate model risk in the firm.
As a Model Risk Management - Program Management - Associate, you'll support the management of model risk, governance activities are conducted to identify, measure, and mitigate model risk in the firm.
Quantitative Model Risk Analyst
$59K - $106K/yr
Develops and maintains effective partnerships with analysts, model owners, business level risk management teams and auditors, internal and external. * Prepares written model validation reports and ...
Quantitative Model Risk Analyst
$59K - $106K/yr
Develops and maintains effective partnerships with analysts, model owners, business level risk management teams and auditors, internal and external. * Prepares written model validation reports and ...
Credit Risk Model Development Quantitative Analyst II - Consumer Portfolio (Hybrid - see job desc...
New York, NY · On-site
... risk management, as well as balance sheet and capital planning ... Supports more experienced analysts and management in data analysis, model development efforts and ...
Credit Risk Model Development Quantitative Analyst II - Consumer Portfolio (Hybrid - see job desc...
New York, NY · On-site
... risk management, as well as balance sheet and capital planning ... Supports more experienced analysts and management in data analysis, model development efforts and ...
Manager, Data Scientist - Card Intelligence Model Risk Management Data is at the center of everything we do. As a startup, we disrupted the credit card industry by individually personalizing every ...
Manager, Data Scientist - Card Intelligence Model Risk Management Data is at the center of everything we do. As a startup, we disrupted the credit card industry by individually personalizing every ...
Credit Risk Model Owner
Manhattan, NY · Hybrid
$85K - $131K/yr
This role is expected to conduct regular model monitoring procedure, finding management, and model governance, communicate with key model stakeholders including Tokyo Head Office, develop credit risk ...
Credit Risk Model Owner
Manhattan, NY · Hybrid
$85K - $131K/yr
This role is expected to conduct regular model monitoring procedure, finding management, and model governance, communicate with key model stakeholders including Tokyo Head Office, develop credit risk ...
Credit Risk Model Owner
Manhattan, NY · On-site
$85K - $131K/yr
Enhance model management, governance processes and model documentation standards to improve ... Strong knowledge of Model Risk Management framework, regulation and industry practice (Experience ...
Credit Risk Model Owner
Manhattan, NY · On-site
$85K - $131K/yr
Enhance model management, governance processes and model documentation standards to improve ... Strong knowledge of Model Risk Management framework, regulation and industry practice (Experience ...
Manager, Quantitative Analysis - Model Risk Office At Capital One data is at the center of ... Clients of the group include senior management, business leads, internal audit, and the regulators.
Manager, Quantitative Analysis - Model Risk Office At Capital One data is at the center of ... Clients of the group include senior management, business leads, internal audit, and the regulators.
Manager, Quantitative Analysis - Model Risk Office At Capital One data is at the center of ... Clients of the group include senior management, business leads, internal audit, and the regulators.
Manager, Quantitative Analysis - Model Risk Office At Capital One data is at the center of ... Clients of the group include senior management, business leads, internal audit, and the regulators.
Liaise with key stakeholders including Trading, Structuring, Product Control, Finance, Technology, Model Risk, Credit Risk, Legal, Compliance, Audit, and senior management. * Support broader US ...
Liaise with key stakeholders including Trading, Structuring, Product Control, Finance, Technology, Model Risk, Credit Risk, Legal, Compliance, Audit, and senior management. * Support broader US ...
VP, US Equity Derivatives & Structured Products Risk Manager
Manhattan, NY · On-site
$175 - $200/hr
Liaise with key stakeholders including Trading, Structuring, Product Control, Finance, Technology, Model Risk, Credit Risk, Legal, Compliance, Audit, and senior management. * Support broader US ...
New
VP, US Equity Derivatives & Structured Products Risk Manager
Manhattan, NY · On-site
$175 - $200/hr
Liaise with key stakeholders including Trading, Structuring, Product Control, Finance, Technology, Model Risk, Credit Risk, Legal, Compliance, Audit, and senior management. * Support broader US ...
New
AI Strategy & Risk Manager
Manhattan, NY · On-site
$110 - $150/hr
Partner closely with business leaders, technology teams, model risk management, compliance, legal, audit, and other stakeholders * Coordinate and manage AI-related projects and initiatives within the ...
AI Strategy & Risk Manager
Manhattan, NY · On-site
$110 - $150/hr
Partner closely with business leaders, technology teams, model risk management, compliance, legal, audit, and other stakeholders * Coordinate and manage AI-related projects and initiatives within the ...
VP, US Equity Derivatives & Structured Products Risk Manager
Manhattan, NY · On-site
$175K - $200K/yr
Liaise with key stakeholders including Trading, Structuring, Product Control, Finance, Technology, Model Risk, Credit Risk, Legal, Compliance, Audit, and senior management. * Support broader US ...
VP, US Equity Derivatives & Structured Products Risk Manager
Manhattan, NY · On-site
$175K - $200K/yr
Liaise with key stakeholders including Trading, Structuring, Product Control, Finance, Technology, Model Risk, Credit Risk, Legal, Compliance, Audit, and senior management. * Support broader US ...
MODEL RISK MANAGEMENT (MRM) The Model Risk Management (MRM) group is a multidisciplinary group of quantitative experts at Goldman Sachs with presence in New York, Dallas, London, Birmingham, Warsaw ...
MODEL RISK MANAGEMENT (MRM) The Model Risk Management (MRM) group is a multidisciplinary group of quantitative experts at Goldman Sachs with presence in New York, Dallas, London, Birmingham, Warsaw ...
MODEL RISK MANAGEMENT (MRM) The Model Risk Management (MRM) group is a multidisciplinary group of quantitative experts at Goldman Sachs with presence in New York, Dallas, London, Birmingham, Warsaw ...
MODEL RISK MANAGEMENT (MRM) The Model Risk Management (MRM) group is a multidisciplinary group of quantitative experts at Goldman Sachs with presence in New York, Dallas, London, Birmingham, Warsaw ...
Manager Model Risk Management information
See Massapequa, NY salary details
$44.6K - $56.2K
8% of jobs
$56.2K - $67.8K
14% of jobs
$73.1K is the 25th percentile. Wages below this are outliers.
$67.8K - $79.3K
6% of jobs
$79.3K - $90.9K
8% of jobs
$90.9K - $102.4K
11% of jobs
The median wage is $104.9K / yr.
$102.4K - $114K
13% of jobs
$114K - $125.6K
11% of jobs
$129.1K is the 75th percentile. Wages above this are outliers.
$125.6K - $137.1K
15% of jobs
$137.1K - $148.7K
8% of jobs
$148.7K - $160.3K
4% of jobs
$160.3K - $171.8K
2% of jobs
$44.6K
$106.4K
$171.8K
How much do manager model risk management jobs pay per year?
What is the difference between Manager Model Risk Management vs Model Risk Analyst?
| Aspect | Manager Model Risk Management | Model Risk Analyst |
|---|---|---|
| Credentials | Typically requires advanced degrees (e.g., MBA, Master's in Finance or Risk), certifications like FRM or CFA | Often requires similar credentials, such as FRM or CFA, but may have less emphasis on managerial certifications |
| Work Environment | Leads teams, manages risk frameworks, and interacts with senior management | Performs detailed risk analysis, supports model validation, and reports findings |
| Employer & Industry Usage | Common in banking, asset management, and financial institutions | Found in similar environments, often as a supporting role to managers |
The Manager Model Risk Management oversees the entire model risk framework, manages teams, and interacts with senior stakeholders. In contrast, the Model Risk Analyst focuses on detailed analysis, validation, and reporting of models. Both roles require similar credentials but differ in scope and responsibilities.
What are the most commonly searched types of Model Risk Management jobs in Massapequa, NY?
The most popular types of Model Risk Management jobs in Massapequa, NY are:
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For Manager Model Risk Management jobs in Massapequa, NY, the most frequently searched job titles are:
What job categories do people searching Manager Model Risk Management jobs in Massapequa, NY look for?
The top searched job categories for Manager Model Risk Management jobs in Massapequa, NY are:
What cities near Massapequa, NY are hiring for Manager Model Risk Management jobs?
Cities near Massapequa, NY with the most Manager Model Risk Management job openings:

Full-time
Medical, Dental, Vision, Retirement, PTO
Re-posted 20 days ago
Job description
Tradeweb is a global leader in electronic trading across asset classes. As financial markets become increasingly interconnected, our technology enables efficient, multi-asset trading on a global scale. We serve more than 3,000 clients in more than 85 countries, including many of the world's largest banks, asset managers, hedge funds, insurers, corporations, and wealth managers.
Creative collaboration and sharp client focus have helped fuel our organic growth. We facilitated average daily trading volume (ADV) of more than $2.8 trillion over the past four fiscal quarters, topping $3.3 trillion in ADV for the first quarter of 2026.
Since our IPO in 2019, Tradeweb has completed four acquisitions and doubled our revenues - and 2025 was our 26th consecutive year of record revenues.
Tradeweb plays a central role in modernizing market structure by developing innovative trading protocols, embedding analytics into execution, and building technology infrastructure that supports the convergence of traditional and digitally native financial markets. Tradeweb is a great place to work, recognized in 2025 by Forbes as one of America's Best Companies and by U.S. News & World Report as one of the Best Financial Services Companies to Work For.
Tradeweb Markets LLC ("Tradeweb") is proud to be an EEO Minorities/Females/Protected Veterans/Disabled/Affirmative Action Employer.
Workplace Posters | U.S. Department of Labor
Group Details
Tradeweb is seeking a Risk Management Vice President to support its Model Risk Governance and Model Management framework. Reporting to the Head of Financial Risk, the successful candidate will help manage day-to-day governance activities for models, calculation engines, pricing logic, analytics and related technology changes that may impact external-facing customer pricing or trading workflow outputs.
This role will work closely with Development, Product, Technology, Quantitative Analytics, Risk and other internal stakeholders. The individual will help ensure proposed changes are reviewed through the appropriate governance process, supported by clear documentation and testing evidence, and remain within the defined parameters of Tradeweb's model risk governance program.
The role is well suited to a candidate with practical quantitative and technology fluency, strong governance discipline and the ability to work directly with technical teams to understand calculation logic, ask informed questions, review testing evidence and escalate control concerns. The successful candidate should be comfortable translating technical issues into clear risk and control considerations for Financial Risk management and governance forums.
Job Responsibilities
- Support the day-to-day operation of Tradeweb's model risk governance and model management framework.
- Maintain model governance records, including model inventory information, risk classifications, review status, documentation, approvals, open issues and remediation actions.
- Work with Development and Product teams to understand new or amended calculation engines, pricing logic, analytics, data inputs, assumptions, dependencies and customer-facing impacts.
- Help ensure model and calculation engine changes follow established governance standards for documentation, review, testing, approval, implementation and ongoing monitoring.
- Review validation and testing evidence at an appropriate level, including the reasonableness of test approach, coverage of key scenarios, evidence quality and traceability to the proposed change.
- Challenge model owners, developers and product teams where documentation, testing or governance evidence is incomplete, unclear or inconsistent with required standards.
- Perform high-level review of implementation logic, code or configuration summaries, data flows and controls to assess whether proposed changes are consistent with approved requirements.
- Escalate material issues, control gaps or delays to the Head of Financial Risk and relevant governance forums.
- Prepare concise reporting on model inventory status, review activity, open findings, remediation progress and emerging model governance themes.
- Support governance review of AI, machine learning, generative AI or agentic workflow use cases where applicable, with focus on use case purpose, controls, oversight, documentation and monitoring.
Qualifications
- BA/BS degree in Finance, Economics, Mathematics, Statistics, Engineering, Computer Science, Information Systems, Business or a related discipline.
- 4-7 years of relevant experience in model governance, model validation, risk management, technology risk, product control, software delivery oversight, data analytics, financial technology or a related financial services role.
- Quantitative aptitude with the ability to understand calculation logic, assumptions, inputs, outputs, limitations and testing results at a practical review level.
- Technology fluency, including comfort discussing systems, data flows, development processes and code or configuration changes with technical teams.
- Experience working with developers, product owners, technology teams or business stakeholders to support controlled change delivery.
- Ability to review documentation and testing evidence, identify gaps, ask informed questions and escalate issues appropriately.
- Strong organizational, written and verbal communication skills, with the ability to manage multiple reviews and summarize technical topics for risk management and business stakeholders.
- Strong attention to detail, sound judgment and ability to challenge constructively while maintaining effective working relationships.
- Financial services, fintech, trading, market data, risk management or regulated technology environment experience.
Desired Skills
- Exposure to pricing, valuation, trading analytics, fixed income products, market data, electronic trading or customer-facing financial technology outputs.
- Prior involvement with model inventories, governance committees, change management forums, release governance, audit remediation or internal control programs.
- Experience with technology infrastructure, software development lifecycle controls, data lineage, production support or application control processes.
- Exposure to AI, machine learning, large language models, generative AI or agentic workflows from a governance, controls, risk or technology perspective.
- Ability to read code or query data at a basic to intermediate level; experience with tools such as Python, SQL, Tableau, Power BI, Jira, Confluence or similar platforms is helpful but not required.
- Experience preparing dashboards, metrics, management reporting, workflow documentation or process improvement materials.
Additional Information
Tradeweb is committed to providing valuable and competitive benefits. In addition to working in our culture of innovation and collaboration, we offer:
- Health Insurance: Highly competitive medical, dental, and vision programs
- Hybrid Environment: Our employees have the flexibility of working in the office and from home.
- Health Care and Dependent Care Flexible Spending Accounts: You may elect to set aside pre-tax earnings to pay for eligible health care and dependent day care expenses for you and your eligible family members.
- Maven Family Building Benefit: Maven offers support for fertility and preconception; pregnancy and post-partum; adoption; surrogacy and pediatrics for children up to age 10. Tradeweb provide a $10,000 lifetime reimbursement towards fertility, egg freezing, adoption and surrogacy expenses.
- Building Wealth - 401(k) Savings Plan: Employees are immediately eligible for the 401(k) plan. Participants may contribute up to 75% of eligible compensation into a traditional 401(k) and/or Roth 401(k). Tradeweb will match 100% of the first 4% of compensation that you contribute.
- The current pay range for this role if performed in the city of New York is currently $ 150,000 to $175,00 per year, based on a regular, full-time schedule. The amount of pay offered will be determined by a number of factors, including but not limited to qualifications, market data, geographic location, and internal guidelines.
Other Benefit Programs
- Pre-Tax Commuter Benefits Program
- ARAG Legal Services
- Employee Assistance Program
- Tuition Reimbursement
- Financial Wellness Tools
- Travel Assistance Benefits
- Pet Insurance
- Corporate Gym Subsidies
- Wellness Perks
- Paid Time Off and Parental Leave