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Manager Risk Analytics Jobs in Boston, MA (NOW HIRING)

Fraud Risk Analytics Manager

Boston, MA · Hybrid

$105K - $130K/yr

... risk management, and product experiences. The ideal candidate brings deep fraud domain expertise spanning across the entire customer life cycle, strong analytical rigor, and the courage to challenge ...

Fraud Risk Analytics Manager

Boston, MA · Hybrid

$105K - $130K/yr

... risk management, and product experiences. The ideal candidate brings deep fraud domain expertise spanning across the entire customer life cycle, strong analytical rigor, and the courage to challenge ...

The Crown Is Yours As a Senior Analyst, Risk Analytics, you'll turn complex data into strategic direction that strengthens risk management and ensures regulatory adherence across our products and ...

... Management process. The successful candidate will measure and develop market risk analytics with the position playing an instrumental role in supporting the risk governance process for senior ...

... Management process. The successful candidate will measure and develop market risk analytics with the position playing an instrumental role in supporting the risk governance process for senior ...

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Manager Risk Analytics information

See Boston, MA salary details

$56K

$121.2K

$184.7K

How much do manager risk analytics jobs pay per year?

As of May 28, 2026, the average yearly pay for manager risk analytics in Boston, MA is $121,195.00, according to ZipRecruiter salary data. Most workers in this role earn between $97,800.00 and $140,100.00 per year, depending on experience, location, and employer.

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

To thrive as a Manager Risk Analytics, you need strong quantitative analysis skills, expertise in risk modeling, and a background in finance, statistics, or a related field—often supported by an advanced degree. Proficiency with statistical software (such as SAS, R, or Python), risk management systems, and relevant certifications like FRM or CFA is typically required. Exceptional leadership, communication, and problem-solving skills help you guide teams and translate complex data into actionable insights for stakeholders. These abilities are critical for accurately assessing risks, informing business decisions, and ensuring regulatory compliance.

How does a Manager of Risk Analytics typically collaborate with other departments within an organization?

A Manager of Risk Analytics works closely with teams across the organization, such as finance, compliance, operations, and IT, to identify and mitigate potential risks. This role involves communicating complex analytical findings in an understandable way to non-technical stakeholders and supporting informed decision-making. Regular collaboration ensures that risk models and strategies align with business objectives and regulatory requirements. Effective teamwork and cross-departmental communication are essential to implementing robust risk management solutions.

What does a Manager of Risk Analytics do?

A Manager of Risk Analytics leads a team responsible for analyzing data to identify, assess, and mitigate risks within an organization. They develop risk models, oversee the implementation of analytics tools, and provide insights that help guide business decisions. Their work helps organizations manage financial, operational, and strategic risks more effectively. Additionally, they often collaborate with other departments to ensure risk management strategies align with overall business goals.

Are risk managers in demand?

Risk managers are in high demand across various industries due to increasing regulatory requirements and the need to manage financial and operational risks. They often require strong analytical skills, knowledge of risk management tools, and relevant certifications such as FRM or CRM, making their expertise valuable in today's job market.

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

AspectManager Risk AnalyticsRisk Analyst
CredentialsBachelor's or Master’s in Finance, Economics, or related field; professional certifications like FRM or CFABachelor's degree in Finance, Economics, or related field; some certifications preferred
Work EnvironmentLeads teams, manages risk projects, strategic planningAnalyzes data, prepares reports, supports risk management processes
Industry UsageUsed across banking, insurance, investment firmsCommon 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.

What are popular job titles related to Manager Risk Analytics jobs in Boston, MA? For Manager Risk Analytics jobs in Boston, MA, the most frequently searched job titles are:
What cities near Boston, MA are hiring for Manager Risk Analytics jobs? Cities near Boston, MA with the most Manager Risk Analytics job openings:

Senior Sales Executive / Account Executive - Risk Analytics Solutions

Risk Analytics Company

Cambridge, MA

Full-time

Medical, Dental, Vision, Retirement, PTO

Posted 10 days ago


Job description

Benefits:
  • 401(k)
  • Bonus based on performance
  • Competitive salary
  • Dental insurance
  • Flexible schedule
  • Health insurance
  • Opportunity for advancement
  • Paid time off
  • Vision insurance

Senior Sales Executive / Account Executive Risk Analytics Solutions
Location: New York or Boston
Reports To: Head of Sales / Chief Revenue Officer
About the Company
We are a leading provider of institutional risk analytics and portfolio optimization solutions serving asset managers, hedge funds, pension funds, insurers, wealth managers, and banks. Our platform delivers multi-asset risk models, performance attribution, factor analytics, stress testing, portfolio construction, and investment decision support tools used by some of the worlds most sophisticated investors.
Our solutions help clients better understand portfolio exposures, improve investment outcomes, manage regulatory requirements, and make data-driven portfolio decisions.
Role Overview
We are seeking a high-performing sales professional with experience selling financial technology, analytics, or investment solutions into institutional investors. The ideal candidate understands quantitative investing workflows and has experience engaging portfolio managers, risk teams, CIOs, quantitative researchers, and investment operations leaders.
This role is responsible for driving new business growth, expanding strategic accounts, and managing complex enterprise sales cycles for risk analytics and portfolio management solutions.
Key Responsibilities
  • Develop and execute a strategic sales plan focused on institutional asset managers, hedge funds, banks, insurers, and asset owners
  • Identify, qualify, and close new business opportunities for risk analytics, factor modeling, portfolio optimization, and performance attribution solutions
  • Build trusted relationships with CIOs, portfolio managers, heads of risk, quantitative analysts, and investment technology teams
  • Lead complex enterprise sales cycles from prospecting through contract negotiation and close
  • Collaborate with product specialists, quantitative research, customer success, and implementation teams to deliver tailored client solutions
  • Conduct client presentations, platform demonstrations, and business value discussions
  • Maintain a strong pipeline and accurate forecasting within CRM systems
  • Represent the company at industry conferences, client events, and thought leadership forums
  • Stay current on market structure, quantitative investing trends, risk management practices, and competitor offerings
  • Partner with marketing and product teams to provide client feedback and identify new market opportunities
Required Qualifications
  • Bachelors degree in Finance, Economics, Mathematics, Business, or related field
  • 5+ years of enterprise sales experience in financial technology, analytics, market data, risk management, or investment software
  • Proven track record of exceeding revenue targets and closing complex institutional deals
  • Strong understanding of:
    • Portfolio risk analytics
    • Factor models and performance attribution
    • Quantitative investing concepts
    • Multi-asset portfolio construction
    • Institutional investment workflows
  • Experience selling to buy-side institutions including asset managers, hedge funds, pension funds, and insurance firms
  • Excellent communication, presentation, and consultative selling skills
  • Ability to engage both technical and executive stakeholders
  • Familiarity with CRM platforms such as HubSpot
Preferred Qualifications
  • Experience selling platforms similar to Barra, Axioma, Aladdin, FactSet, MSCI, Bloomberg, or BlackRock solutions
  • CFA, CAIA, or advanced finance-related coursework
  • Understanding of APIs, cloud-based analytics platforms, or investment data infrastructure
  • Existing network within institutional investment management
Success Metrics
  • Annual recurring revenue (ARR) growth
  • New logo acquisition
  • Enterprise account expansion
  • Pipeline generation and conversion rates
  • Client retention and strategic account development
What We Offer
  • Competitive base salary plus uncapped commission
  • Equity participation opportunity
  • Comprehensive healthcare and retirement benefits
  • Flexible work environment
  • Exposure to leading institutional investors and cutting-edge quantitative technologies
  • Career growth within a rapidly expanding analytics organization
Ideal Candidate Profile
The successful candidate combines strong commercial instincts with credibility in front of sophisticated investment professionals. They are comfortable discussing portfolio construction, risk decomposition, factor exposures, and investment workflows while also navigating enterprise procurement and executive stakeholder management.