... gap analysis 2. Wealth Management Domain Support Understand core concepts: Portfolio management Asset allocation (Equities, Fixed Income, Alternatives) Investment lifecycle Risk profiling ...
... gap analysis 2. Wealth Management Domain Support Understand core concepts: Portfolio management Asset allocation (Equities, Fixed Income, Alternatives) Investment lifecycle Risk profiling ...
... risk management and cybersecurity risks and industry standards and guidance (i.e., FFIEC IT Handbook and NIST CSF) * Previous SP supervision experience a plus * Strong critical thinking, analytical ...
... risk management and cybersecurity risks and industry standards and guidance (i.e., FFIEC IT Handbook and NIST CSF) * Previous SP supervision experience a plus * Strong critical thinking, analytical ...
... risk management and cybersecurity risks and industry standards and guidance (i.e., FFIEC IT Handbook and NIST CSF) * Previous SP supervision experience a plus * Strong critical thinking, analytical ...
... risk management and cybersecurity risks and industry standards and guidance (i.e., FFIEC IT Handbook and NIST CSF) * Previous SP supervision experience a plus * Strong critical thinking, analytical ...
Risk & Quality Performance Manager (Remote)
Jacksonville, FL · Remote
$66K - $129K/yr
... analytics, and reporting, including but not limited to: Risk/Quality rate trending and forecasting ... or project management experience in risk adjustment and/or quality 2+ years of experience ...
Risk & Quality Performance Manager (Remote)
Jacksonville, FL · Remote
$66K - $129K/yr
... analytics, and reporting, including but not limited to: Risk/Quality rate trending and forecasting ... or project management experience in risk adjustment and/or quality 2+ years of experience ...
Director Risk Management
Jacksonville, FL · On-site
Supervise the Risk Manager and ensure claims are managed consistently with best practices, internal ... Data & Analytics: * Analyze claims trends and risk exposures to inform decision-making and ...
Director Risk Management
Jacksonville, FL · On-site
Supervise the Risk Manager and ensure claims are managed consistently with best practices, internal ... Data & Analytics: * Analyze claims trends and risk exposures to inform decision-making and ...
Risk & Quality Performance Manager (Remote)
Jacksonville, FL · Remote
$66K - $129K/yr
... analytics, and reporting, including but not limited to: Risk/Quality rate trending and forecasting ... project management experience in risk adjustment and/or quality • 2+ years of experience ...
Risk & Quality Performance Manager (Remote)
Jacksonville, FL · Remote
$66K - $129K/yr
... analytics, and reporting, including but not limited to: Risk/Quality rate trending and forecasting ... project management experience in risk adjustment and/or quality • 2+ years of experience ...
Risk & Quality Performance Manager (Remote)
Jacksonville, FL · Remote
$66K - $129K/yr
... analytics, and reporting, including but not limited to: Risk/Quality rate trending and forecasting ... project management experience in risk adjustment and/or quality • 2+ years of experience ...
Risk & Quality Performance Manager (Remote)
Jacksonville, FL · Remote
$66K - $129K/yr
... analytics, and reporting, including but not limited to: Risk/Quality rate trending and forecasting ... project management experience in risk adjustment and/or quality • 2+ years of experience ...
Senior Cybersecurity Third-Party Risk Analyst
Jacksonville, FL · Remote
$92K - $119K/yr
Senior Cybersecurity Third-Party Risk Analyst Company: The Boeing Company We are seeking a highly ... Maintain strong documentation & processes to support change management of automation logic, AI ...
Senior Cybersecurity Third-Party Risk Analyst
Jacksonville, FL · Remote
$92K - $119K/yr
Senior Cybersecurity Third-Party Risk Analyst Company: The Boeing Company We are seeking a highly ... Maintain strong documentation & processes to support change management of automation logic, AI ...
... analytics Knowledge of third-party risk management processes and regulatory frameworks (e.g., DORA, outsourcing regulations, data protection) Ability to interpret commercial terms, scopes of work ...
... analytics Knowledge of third-party risk management processes and regulatory frameworks (e.g., DORA, outsourcing regulations, data protection) Ability to interpret commercial terms, scopes of work ...
Overview Blend is seeking a Fraud Analytics Lead Analyst to support fraud strategy and analytics ... Exposure to risk management, regulatory, or financial services environments. * Excellent ...
Overview Blend is seeking a Fraud Analytics Lead Analyst to support fraud strategy and analytics ... Exposure to risk management, regulatory, or financial services environments. * Excellent ...
... analytics Knowledge of third-party risk management processes and regulatory frameworks (e.g., DORA, outsourcing regulations, data protection) Ability to interpret commercial terms, scopes of work ...
... analytics Knowledge of third-party risk management processes and regulatory frameworks (e.g., DORA, outsourcing regulations, data protection) Ability to interpret commercial terms, scopes of work ...
Lead Fraud Analyst
Jacksonville, FL · On-site
Overview Blend is seeking a Fraud Analytics Lead Analyst to support fraud strategy and analytics ... Exposure to risk management, regulatory, or financial services environments. * Excellent ...
Lead Fraud Analyst
Jacksonville, FL · On-site
Overview Blend is seeking a Fraud Analytics Lead Analyst to support fraud strategy and analytics ... Exposure to risk management, regulatory, or financial services environments. * Excellent ...
Lead Fraud Analyst
Jacksonville, FL · On-site
Overview Blend is seeking a Fraud Analytics Lead Analyst to support fraud strategy and analytics ... Exposure to risk management, regulatory, or financial services environments. * Excellent ...
Quick apply
Lead Fraud Analyst
Jacksonville, FL · On-site
Overview Blend is seeking a Fraud Analytics Lead Analyst to support fraud strategy and analytics ... Exposure to risk management, regulatory, or financial services environments. * Excellent ...
Strong structured credit experience, including analysis of complex financing structures and non-payment risk * Experience managing or underwriting Credit, Political Risk and/or Surety business across ...
Strong structured credit experience, including analysis of complex financing structures and non-payment risk * Experience managing or underwriting Credit, Political Risk and/or Surety business across ...
Strong structured credit experience, including analysis of complex financing structures and non-payment risk * Experience managing or underwriting Credit, Political Risk and/or Surety business across ...
Quick apply
Strong structured credit experience, including analysis of complex financing structures and non-payment risk * Experience managing or underwriting Credit, Political Risk and/or Surety business across ...
Coordinates client team including Account Management, Risk Mitigation, Claims Consulting and Risk Analysts to ensure service standards and key deliverables exceed clients' expectations. * Assesses ...
Coordinates client team including Account Management, Risk Mitigation, Claims Consulting and Risk Analysts to ensure service standards and key deliverables exceed clients' expectations. * Assesses ...
These tools analyze information you provide (for example, your resume or answers to application ... Supervise the Risk Manager and ensure claims are managed consistently with best practices, internal ...
These tools analyze information you provide (for example, your resume or answers to application ... Supervise the Risk Manager and ensure claims are managed consistently with best practices, internal ...
Bachelor's degree in Risk Management, Finance, Accounting, Business, Economics, or a related field * 3+ years of experience in finance, risk, accounting, or a related analytical role * Strong ...
Quick apply
Bachelor's degree in Risk Management, Finance, Accounting, Business, Economics, or a related field * 3+ years of experience in finance, risk, accounting, or a related analytical role * Strong ...
Reinsurance Analyst
Ponte Vedra, FL · On-site
Bachelor's degree in Risk Management, Finance, Accounting, Business, Economics, or a related field * 3+ years of experience in finance, risk, accounting, or a related analytical role * Strong ...
Reinsurance Analyst
Ponte Vedra, FL · On-site
Bachelor's degree in Risk Management, Finance, Accounting, Business, Economics, or a related field * 3+ years of experience in finance, risk, accounting, or a related analytical role * Strong ...
Contribute to scenario analysis and enterprise-level risk insights * ERM Framework & Policy Implementation * Support the implementation and ongoing evolution of the ICE Enterprise Risk Management ...
Contribute to scenario analysis and enterprise-level risk insights * ERM Framework & Policy Implementation * Support the implementation and ongoing evolution of the ICE Enterprise Risk Management ...
Manager Risk Analytics information
See Jacksonville, FL salary details
$47.7K - $57.7K
4% of jobs
$57.7K - $67.7K
6% of jobs
$67.7K - $77.7K
11% of jobs
$81.4K is the 25th percentile. Wages below this are outliers.
$77.7K - $87.6K
11% of jobs
The median wage is $95.6K / yr.
$87.6K - $97.6K
23% of jobs
$97.6K - $107.6K
13% of jobs
$114.2K is the 75th percentile. Wages above this are outliers.
$107.6K - $117.6K
12% of jobs
$117.6K - $127.6K
8% of jobs
$127.6K - $137.6K
6% of jobs
$137.6K - $147.5K
4% of jobs
$147.5K - $157.5K
2% of jobs
$47.7K
$103.4K
$157.5K
How much do manager risk analytics jobs pay per year?
How does a Manager of Risk Analytics typically collaborate with other departments within an organization?
Are risk managers in high 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.
What does a Manager of Risk Analytics do?
Do risk managers make good money?
What is the highest salary for a risk manager?
What does a risk manager analyst do?
What are the key skills and qualifications needed to thrive as a Manager Risk Analytics, and why are they important?

Contractor
Re-posted 16 days ago
Job description
Candidate BeelineID i.e. PTN_US_9999999_SKIPJOHNSON0413
MSP Owner: Thomas Hodges
Targeted - -hr
REQUIREMENT_CITY - New York
REQUIREMENT_ID-10773135
Role Name - Business Analyst
ROLE_DESCRIPTION -
Business Analyst - Wealth Management Job Description
Role Overview
A Wealth Management Business Analyst bridges business needs and technology solutions within private banking, asset management, and financial advisory domains. The role focuses on analyzing business processes, gathering requirements, and delivering solutions that improve client portfolio management, regulatory compliance, and operational efficiency.
Key Responsibilities
1. Requirement Gathering & Analysis
Collaborate with stakeholders (portfolio managers, financial advisors, operations teams)
Elicit, analyze, and document:
Business requirements (BRDs)
Functional requirements (FRDs)
User stories and acceptance criteria
Conduct workshops, stakeholder interviews, and gap analysis
2. Wealth Management Domain Support
Understand core concepts:
Portfolio management
Asset allocation (Equities, Fixed Income, Alternatives)
Investment lifecycle
Risk profiling & suitability
Support systems like:
Portfolio management systems (PMS)
CRM platforms (Salesforce, Microsoft Dynamics)
Trading and order management systems (OMS)
3. Data Analysis & Reporting
Analyze financial data related to:
Client portfolios
Performance metrics (ROI, Alpha, Beta)
Risk analytics
Prepare dashboards and reports using tools like:
Excel, Power BI, Tableau
4. Functional Design & Solutioning
Translate business requirements into system specifications
Work closely with:
Developers
QA teams
Product owners
Define workflows, business rules, and use cases
Skills: Digital : Artificial Intelligence(AI)~BFS : Wealth Management~Finance and Accounting~EIS : Management of Clients (Direct Materials)~Capital Markets - Investment Banking
Experience Required: 10 & Above, Project Code :
About Real Soft
Sourced by ZipRecruiter
Industry
It services
Company size
501 - 1,000 Employees
Headquarters location
Monmouth Junction, NJ, US
Year founded
1991