The Senior Director - Risk Analytics reports to the Vice President - Enterprise Market, Liquidity ... Communicate enterprise-wide risk management issues and emerging risks and monitor effective and ...
The Senior Director - Risk Analytics reports to the Vice President - Enterprise Market, Liquidity ... Communicate enterprise-wide risk management issues and emerging risks and monitor effective and ...
Overview PenFed is hiring a (Hybrid) Manager, Consumer Lending Policy & Risk Analytics at our Tysons, Virginia or Irving, Texas location. The primary focus of this job is to manage credit analysis to ...
Overview PenFed is hiring a (Hybrid) Manager, Consumer Lending Policy & Risk Analytics at our Tysons, Virginia or Irving, Texas location. The primary focus of this job is to manage credit analysis to ...
The Senior Director - Risk Analytics reports to the Vice President - Enterprise Market, Liquidity ... Communicate enterprise-wide risk management issues and emerging risks and monitor effective and ...
The Senior Director - Risk Analytics reports to the Vice President - Enterprise Market, Liquidity ... Communicate enterprise-wide risk management issues and emerging risks and monitor effective and ...
Support the management and oversight of other risk-related studies, analyses, and other endeavors sponsored by the office and assist in program execution, engage with technical and non-technical ...
Support the management and oversight of other risk-related studies, analyses, and other endeavors sponsored by the office and assist in program execution, engage with technical and non-technical ...
Support the management and oversight of other risk-related studies, analyses, and other endeavors sponsored by the office and assist in program execution, engage with technical and non-technical ...
New
Support the management and oversight of other risk-related studies, analyses, and other endeavors sponsored by the office and assist in program execution, engage with technical and non-technical ...
New
Support the management and oversight of other risk-related studies, analyses, and other endeavors sponsored by the office and assist in program execution, engage with technical and non-technical ...
Support the management and oversight of other risk-related studies, analyses, and other endeavors sponsored by the office and assist in program execution, engage with technical and non-technical ...
MGR - RISK MGMT
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The Risk Manager is responsible for coordinating the loss control efforts and advising management ... Proficient with Root Cause Analysis methodology Knowledge of health-care facility operations ...
MGR - RISK MGMT
Washington, DC · On-site
The Risk Manager is responsible for coordinating the loss control efforts and advising management ... Proficient with Root Cause Analysis methodology Knowledge of health-care facility operations ...
Senior Enterprise Risk Analyst- Credit Risk Analytics
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Senior Enterprise Risk Analyst- Credit Risk Analytics
Washington, DC · On-site +1
$106K - $142K/yr
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As a Risk Analytics Quantitative Expert within PNC's Market Risk organization, you will be based in ... The successful candidate will work closely with Market Risk Management, Model Validation, Treasury ...
As a Risk Analytics Quantitative Expert within PNC's Market Risk organization, you will be based in ... The successful candidate will work closely with Market Risk Management, Model Validation, Treasury ...
McLean, VA: $200,700 - $229,100 for Sr. Manager, Cyber Risk & Analysis Richmond, VA: $182,500 - $208,300 for Sr. Manager, Cyber Risk & Analysis Candidates hired to work in other locations will be ...
McLean, VA: $200,700 - $229,100 for Sr. Manager, Cyber Risk & Analysis Richmond, VA: $182,500 - $208,300 for Sr. Manager, Cyber Risk & Analysis Candidates hired to work in other locations will be ...
McLean, VA: $200,700 - $229,100 for Sr. Manager, Cyber Risk & Analysis Richmond, VA: $182,500 - $208,300 for Sr. Manager, Cyber Risk & Analysis Candidates hired to work in other locations will be ...
McLean, VA: $200,700 - $229,100 for Sr. Manager, Cyber Risk & Analysis Richmond, VA: $182,500 - $208,300 for Sr. Manager, Cyber Risk & Analysis Candidates hired to work in other locations will be ...
Lead, mentor, and develop a team of four: a Senior Analyst, Manager, Senior Manager, and Director ... Risk, Data Science, Product, and Finance About You (Qualifications) * Bachelor's degree required ...
Lead, mentor, and develop a team of four: a Senior Analyst, Manager, Senior Manager, and Director ... Risk, Data Science, Product, and Finance About You (Qualifications) * Bachelor's degree required ...
Our full-time Risk/Quality Manager will plan, organize and direct aspects of risk and quality ... Investigate and analyze actual and potential risks in the facility; assess liability and ...
Our full-time Risk/Quality Manager will plan, organize and direct aspects of risk and quality ... Investigate and analyze actual and potential risks in the facility; assess liability and ...
Manager, Risk Management - Operational Risk Challenge & Advisory As a Manager Risk Specialist at ... Advanced skills in data analysis and data visualization tools (Tableau) At this time, Capital One ...
Manager, Risk Management - Operational Risk Challenge & Advisory As a Manager Risk Specialist at ... Advanced skills in data analysis and data visualization tools (Tableau) At this time, Capital One ...
Sr Manager, Risk Management
Mclean, VA · On-site
You will apply your risk management skills and analytical skills to some of our highest profile Risk Management, Technology and AI projects. Sr. Risk Managers have a high level of exposure across ...
Sr Manager, Risk Management
Mclean, VA · On-site
You will apply your risk management skills and analytical skills to some of our highest profile Risk Management, Technology and AI projects. Sr. Risk Managers have a high level of exposure across ...
Overview Our full-time Risk/Quality Manager will plan, organize and direct aspects of risk and ... Investigate and analyze actual and potential risks in the facility; assess liability and ...
Overview Our full-time Risk/Quality Manager will plan, organize and direct aspects of risk and ... Investigate and analyze actual and potential risks in the facility; assess liability and ...
Sr Manager, Risk Management
Mclean, VA · On-site
You will apply your risk management skills and analytical skills to some of our highest profile Risk Management, Technology and AI projects. Sr. Risk Managers have a high level of exposure across ...
Sr Manager, Risk Management
Mclean, VA · On-site
You will apply your risk management skills and analytical skills to some of our highest profile Risk Management, Technology and AI projects. Sr. Risk Managers have a high level of exposure across ...
Overview Our full-time Risk/Quality Manager will plan, organize and direct aspects of risk and ... Investigate and analyze actual and potential risks in the facility; assess liability and ...
Overview Our full-time Risk/Quality Manager will plan, organize and direct aspects of risk and ... Investigate and analyze actual and potential risks in the facility; assess liability and ...
Manager, Risk Management: Customer Resiliency We're embarking on an exciting new chapter in how we ... Curious and Analytical - You ask why, explore possibilities, and bring your unique perspective to ...
Manager, Risk Management: Customer Resiliency We're embarking on an exciting new chapter in how we ... Curious and Analytical - You ask why, explore possibilities, and bring your unique perspective to ...
As a Manager Risk Specialist at Capital One you'll be responsible for working with business ... Advanced skills in data analysis and data visualization tools (Tableau) At this time, Capital One ...
As a Manager Risk Specialist at Capital One you'll be responsible for working with business ... Advanced skills in data analysis and data visualization tools (Tableau) At this time, Capital One ...
Manager Risk Analytics information
See Ashburn, VA salary details
$52.7K - $63.7K
4% of jobs
$63.7K - $74.7K
6% of jobs
$74.7K - $85.7K
11% of jobs
$89.8K is the 25th percentile. Wages below this are outliers.
$85.7K - $96.7K
11% of jobs
The median wage is $105.5K / yr.
$96.7K - $107.7K
23% of jobs
$107.7K - $118.8K
13% of jobs
$126K is the 75th percentile. Wages above this are outliers.
$118.8K - $129.8K
12% of jobs
$129.8K - $140.8K
8% of jobs
$140.8K - $151.8K
6% of jobs
$151.8K - $162.8K
4% of jobs
$162.8K - $173.8K
2% of jobs
$52.7K
$114.1K
$173.8K
How much do manager risk analytics jobs pay per year?
What are the key skills and qualifications needed to thrive as a Manager Risk Analytics, and why are they important?
How does a Manager of Risk Analytics typically collaborate with other departments within an organization?
What does a Manager of Risk Analytics do?
Are risk managers in demand?
What is the difference between Manager Risk Analytics vs Risk Analyst?
| Aspect | Manager Risk Analytics | Risk Analyst |
|---|---|---|
| Credentials | Bachelor's or Master’s in Finance, Economics, or related field; professional certifications like FRM or CFA | Bachelor's degree in Finance, Economics, or related field; some certifications preferred |
| Work Environment | Leads teams, manages risk projects, strategic planning | Analyzes data, prepares reports, supports risk management processes |
| Industry Usage | Used across banking, insurance, investment firms | Common in financial services, corporate risk departments |
The main difference is that a Manager Risk Analytics oversees risk teams and strategic initiatives, while a Risk Analyst focuses on data analysis and reporting. Both roles require similar credentials and are integral to risk management, but the manager has additional leadership responsibilities.
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Job description
Position Overview:
Are you an innovative risk leader that wants to make an impact? Do you want to put your passion, talents, and ambitions towards ensuring affordable and sustainable housing for families in all communities nationwide? Join the Enterprise Risk Division and find #MoreAtFreddieMac.
The Senior Director - Risk Analytics reports to the Vice President - Enterprise Market, Liquidity, Counterparty Risk and Capital in the Enterprise Risk Division led by Freddie Mac's Chief Risk Officer. The position is responsible for leading governance, independent oversight, and effective challenge of the company's processes for conducting stress testing, loss forecasting, capital planning, and credit risk transfer. This role is central to ensuring the institution's resilience under adverse conditions, maintaining prudent capital adequacy, and strategically managing credit exposures through risk transfer mechanisms. The position engages broadly across the company with senior leaders, in addition to industry experts and regulators to ensure effective risk management of these business processes. The successful candidate will combine quantitative expertise, strategic insight, and strong leadership to enhance enterprise-wide risk and capital management capabilities.
Our Impact:
The Financial Risk team within the Enterprise Risk Division is responsible for oversight and effective challenge of the company's most important risks, including credit, market, and liquidity risks. Together, we:
- Establish governance, policies, and standards that define how the company manages financial risks to support safety and soundness
- Monitor and report on the risk and control profile, financial risk appetite, and performance of risk indicators and metrics against thresholds and limits
- Communicate enterprise-wide risk management issues and emerging risks and monitor effective and timely issue resolution
- Provide timely and independent oversight and effective challenge of the company's financial risk management practices and risk-taking activities
- Assess risk to earnings and capital across a range of scenarios
- Execute an integrated oversight plan in collaboration with Operational Risk and Compliance to support the Chief Risk Officer in providing senior management and the Board with an enterprise view of risks
Your Impact:
As the Senior Director - Risk Analytics, an influential leader at Freddie Mac, you will:
- Lead a talented team of professionals to provide governance and independent oversight of the company's design and execution of enterprise stress testing and capital management programs, including scenario design, selection of business assumptions, model management, and results interpretation and assessment against risk appetite
- Develop and maintain governance, policies, and standards that define how the company executes stress testing and capital planning and manages credit risk transfer in accordance with business strategy to support safety and soundness and comply with legal, regulatory, and conservator requirements
- Oversee the institution's capital management framework, including capital adequacy assessments and coordination of regulatory capital submissions
- Provide second-line oversight of credit risk transfer activities such as securitizations and reinsurance arrangements to ensure compliance with risk appetite and regulatory expectations
- Evaluate processes and risks and assess controls used for managing stress testing, capital planning, and credit risk transfer and develop independent risk oversight processes and controls
- Conduct independent risk assessments and issue effective challenge as part of monitoring activities
- Conduct related model use assessments and method reviews
- Partner with Finance, the business segments, and Enterprise Risk to align stress testing and capital management outcomes with strategic and risk appetite objectives
- Present analyses and recommendations to senior management, the Board Risk Committee, and regulators as appropriate
- Monitor industry and sector trends and emerging regulatory developments (e.g., Basel III finalization, Federal Reserve stress testing guidance) to inform stress testing and capital management activities
- Report to the Chief Compliance Officer on compliance with regulatory obligations
Qualifications:
- 15+ years of experience in a combination of leadership roles in risk management, loss forecasting, capital planning, or related functions within a large, complex financial institution.
- Quantitative degree preferred in finance, economics, mathematics, statistics, or related field; Master's degree or professional certifications (e.g., FRM, CFA) a plus
- Ability to understand stress testing methodologies, capital adequacy frameworks, and credit risk management practices
- Familiarity with relevant regulatory requirements, including CCAR/DFAST and Basel standards
- Expertise in mortgage and fixed income products, model loss estimation, and loss forecasting
- Understanding of uncertainties and limitations of models, methodologies, and judgments used to measure and manage stress losses and capital adequacy
- Strong decision-making skills with the ability to work under pressure effectively to resolve critical issues
- Strong leadership skills with the ability to influence, drive decision-making, and lead and develop teams managing risk across complex financial portfolios
- Experience with analyzing complex financial data and risk management software and financial analysis tools (e.g., Python, R, Excel)
- Excellent verbal and written communication skills with the ability to communicate complex information to a variety of audiences, including senior management and regulators, in a clear and actionable manner
- Demonstrated track record of innovation in risk analytics, data infrastructure, or model governance practices.
Keys to Success in this Role:
- Effective collaboration to build trust and increase efficiency across the three lines, including the business segment (I&CM, SF, and MF) and Finance Divisions, Enterprise Risk Division, and Internal Audit and with FHFA
- Ability to communicate effectively and efficiently
- Expertise and authority to maintain independence, critically review, and provide effective challenge of the company's stress testing and capital management practices and credit risk transfer activities
- Ability to prioritize across multiple competing tasks, manage teams effectively, and deliver timely, high-quality, and well-documented oversight outcomes
- Strong organization skills, analytical mindset, and ability to work in a fast-paced environment against tight deadlines
- Remain current on the latest financial risk management developments, regulations, and industry trends
- Ability to attract and develop risk talent
Current Freddie Mac employees please apply through the internal career site.
We consider all applicants for all positions without regard to gender, race, color, religion, national origin, age, marital status, veteran status, sexual orientation, gender identity/expression, physical and mental disability, pregnancy, ethnicity, genetic information or any other protected categories under applicable federal, state or local laws. We will ensure that individuals are provided reasonable accommodation to participate in the job application or interview process, to perform essential job functions, and to receive other benefits and privileges of employment. Please contact us to request accommodation.
A safe and secure environment is critical to Freddie Mac's business. This includes employee commitment to our acceptable use policy, applying a vigilance-first approach to work, supporting regulatory mandates, and using best practices to protect Freddie Mac from potential threats and risk. Employees exercise this responsibility by executing against policies and procedures and adhering to privacy & security obligations as required via training programs.
CA Applicants: Qualified applications with arrest or conviction records will be considered for employment in accordance with the Los Angeles County Fair Chance Ordinance for Employers and the California Fair Chance Act.
Notice to External Search Firms: Freddie Mac partners with BountyJobs for contingency search business through outside firms. Resumes received outside the BountyJobs system will be considered unsolicited and Freddie Mac will not be obligated to pay a placement fee. If interested in learning more, please visit www.BountyJobs.com and register with our referral code: MAC.
Time-type:Full time
FLSA Status:Exempt
Freddie Mac offers a comprehensive total rewards package to include competitive compensation and market-leading benefit programs. Information on these benefit programs is available on our Careers site.
This position has an annualized market-based salary range of $219,000 - $329,000 and is eligible to participate in the annual incentive program. The final salary offered will generally fall within this range and is dependent on various factors including but not limited to the responsibilities of the position, experience, skill set, internal pay equity and other relevant qualifications of the applicant.
About Freddie Mac
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Today, Freddie Mac makes home possible for one in four home borrowers and is one of the largest sources of financing for multifamily housing. Join our smart, creative and dedicated team and you'll do important work for the housing finance system and make a difference in the lives of others.
Industry
Finance and insurance
Company size
5,001 - 10,000 Employees
Headquarters location
McLean, VA, US
Year founded
1970