Responsibilities Day-to-day Risk Management: * Review and interpret equity risk analytics and dashboards. * Identify, measure, monitor, and communicate key portfolios risks focusing on identifying ...
Responsibilities Day-to-day Risk Management: * Review and interpret equity risk analytics and dashboards. * Identify, measure, monitor, and communicate key portfolios risks focusing on identifying ...
Strong analytical skills, attention to detail, and the ability to adapt to a dynamic agile ... Design a risk management framework enabling line of sight and governance to both processes and ...
Strong analytical skills, attention to detail, and the ability to adapt to a dynamic agile ... Design a risk management framework enabling line of sight and governance to both processes and ...
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 ...
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 ...
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 ...
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 ...
Operational Risk Analyst -Security Governance & Risk Issues Management Location: Merrifield VA ... Work within the Logic Manager (GRC) platform * Support metrics and reporting focused on issues and ...
Operational Risk Analyst -Security Governance & Risk Issues Management Location: Merrifield VA ... Work within the Logic Manager (GRC) platform * Support metrics and reporting focused on issues and ...
... management reporting, and regulatory engagement. Our Impact: • The Investments and Capital ... risk and profitability analysis, pricing and valuation activities, and financial planning and ...
... management reporting, and regulatory engagement. Our Impact: • The Investments and Capital ... risk and profitability analysis, pricing and valuation activities, and financial planning and ...
Develops comprehensive risk analytics, reporting, and presentations for all EORM program areas ... Third-Party Risk Management Develop and maintain a comprehensive Third-Party Risk Management (TPRM ...
Develops comprehensive risk analytics, reporting, and presentations for all EORM program areas ... Third-Party Risk Management Develop and maintain a comprehensive Third-Party Risk Management (TPRM ...
Enterprise Risk Analyst
Alexandria, VA · On-site
Regulatory Affairs Manager DATE: April 30, 2026 Summary/Objective The Enterprise Risk Analyst supports the execution and continued evolution of the Company's Enterprise Risk Management (ERM) program ...
Quick apply
Enterprise Risk Analyst
Alexandria, VA · On-site
Regulatory Affairs Manager DATE: April 30, 2026 Summary/Objective The Enterprise Risk Analyst supports the execution and continued evolution of the Company's Enterprise Risk Management (ERM) program ...
Responsibilities Day-to-day Risk Management: * Review and interpret equity risk analytics and dashboards. * Identify, measure, monitor, and communicate key portfolios risks focusing on identifying ...
Responsibilities Day-to-day Risk Management: * Review and interpret equity risk analytics and dashboards. * Identify, measure, monitor, and communicate key portfolios risks focusing on identifying ...
Risk Manager
Washington, DC · On-site
... management ... Developing and undertaking advanced Quantitative Risk Analysis including Cost, Schedule and ...
Risk Manager
Washington, DC · On-site
... management ... Developing and undertaking advanced Quantitative Risk Analysis including Cost, Schedule and ...
Consults on Issue/Event analysis or changes in resilience conditions to support first line risk response and to inform senior leaders in risk management of our aggregate exposure to operational ...
Consults on Issue/Event analysis or changes in resilience conditions to support first line risk response and to inform senior leaders in risk management of our aggregate exposure to operational ...
Risk Management Analyst
Baltimore, MD · On-site
The Risk Management Analyst (Associate) identifies, analyzes, and mitigates programmatic and ... risks. "Risk Manager (OV-RM-001) Educational and Certification Requirement: Associate: 2 years ...
Risk Management Analyst
Baltimore, MD · On-site
The Risk Management Analyst (Associate) identifies, analyzes, and mitigates programmatic and ... risks. "Risk Manager (OV-RM-001) Educational and Certification Requirement: Associate: 2 years ...
The team supports Counterparty Credit Risk Management (CCRM) function by reporting and analyzing the official risk metrics * We partner and build relationships with the different Capital Markets ...
The team supports Counterparty Credit Risk Management (CCRM) function by reporting and analyzing the official risk metrics * We partner and build relationships with the different Capital Markets ...
Consults on Issue/Event analysis or changes in resilience conditions to support first line risk response and to inform senior leaders in risk management of our aggregate exposure to operational ...
Consults on Issue/Event analysis or changes in resilience conditions to support first line risk response and to inform senior leaders in risk management of our aggregate exposure to operational ...
Risk Management Analyst ID: 1308 Location: Baltimore, MD Department: Administrative Level of ... risks. "Risk Manager (OV-RM-001) Educational and Certification Requirement: Associate: 2 years ...
Risk Management Analyst ID: 1308 Location: Baltimore, MD Department: Administrative Level of ... risks. "Risk Manager (OV-RM-001) Educational and Certification Requirement: Associate: 2 years ...
Manager, Risk Data Product Manager Product Management at Capital One is a booming, vibrant craft ... Conduct data analysis to drive insights into new product features The successful candidate will ...
Manager, Risk Data Product Manager Product Management at Capital One is a booming, vibrant craft ... Conduct data analysis to drive insights into new product features The successful candidate will ...
Manager, Risk Data Product Manager Product Management at Capital One is a booming, vibrant craft ... Conduct data analysis to drive insights into new product features The successful candidate will ...
Manager, Risk Data Product Manager Product Management at Capital One is a booming, vibrant craft ... Conduct data analysis to drive insights into new product features The successful candidate will ...
The team supports Counterparty Credit Risk Management (CCRM) function by reporting and analyzing the official risk metrics * We partner and build relationships with the different Capital Markets ...
The team supports Counterparty Credit Risk Management (CCRM) function by reporting and analyzing the official risk metrics * We partner and build relationships with the different Capital Markets ...
Risk Analyst
Merrifield, VA · On-site
... • Proven project management skills. • Experience performing information security risk ... analytical tool skills desired (Excel, PowerBI) desired. Ref: #851-Rockville-S1
Risk Analyst
Merrifield, VA · On-site
... • Proven project management skills. • Experience performing information security risk ... analytical tool skills desired (Excel, PowerBI) desired. Ref: #851-Rockville-S1
Apply intellectual curiosity and strong analytical skills to solve complex data management ... Risk Insights & Reporting: Proactively synthesize data and reporting to provide actionable business ...
Apply intellectual curiosity and strong analytical skills to solve complex data management ... Risk Insights & Reporting: Proactively synthesize data and reporting to provide actionable business ...
Manager Risk Analytics information
See Silver Spring, MD salary details
$53.2K - $64.4K
4% of jobs
$64.4K - $75.5K
6% of jobs
$75.5K - $86.6K
11% of jobs
$90.8K is the 25th percentile. Wages below this are outliers.
$86.6K - $97.8K
11% of jobs
The median wage is $106.6K / yr.
$97.8K - $108.9K
23% of jobs
$108.9K - $120.1K
13% of jobs
$127.4K is the 75th percentile. Wages above this are outliers.
$120.1K - $131.2K
12% of jobs
$131.2K - $142.3K
8% of jobs
$142.3K - $153.5K
6% of jobs
$153.5K - $164.6K
4% of jobs
$164.6K - $175.7K
2% of jobs
$53.2K
$115.3K
$175.7K
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.
T. Rowe Price rating
9.1
Based on 21 frontline employees who took The Breakroom Quiz
Job description
Role Summary
The Equity Risk Director position is a key role within Investment Risk at T. Rowe Price. The Investment Risk team, which is part of the firm's Enterprise Risk Group, consists of 38 associates located in the United States, United Kingdom, Luxembourg, and Singapore, supported by dedicated technology resources in the US and UK. T.Rowe Price is a leading global asset manager,entrusted with managing $1.79 trillionin client assets as of November 2025 and serving millions of clients globally who rely on the firm for its retirement expertise and active management across asset classes.
This role is a high-impact leadership role, reporting to the Associate Head of Investment Risk who oversees Market Risk, where you will lead a global team with 5 direct reports to provide effective risk oversight of the equity investment division, risk coverage for important equity strategies, and drive the evolution of risk analytics and modelling tools. The director will collaborate with senior investment and risk leadership, and portfolio managers, delivering actionable, value-added, risk insights that support risk aware investment decisions and robust oversight.
The Equity Risk Director also provides risk consultancy for investment teams, which includes deep-dive risk analyses, supplementary stress testing, and tail risk analysis. In addition to possessing risk modeling expertise, the director must demonstrate a thorough understanding of equity investment strategies, markets, and macroeconomic risk drivers. Effective collaboration with Equity Risk team members, other teams within Investment Risk, and our dedicated Technology team, is another key determinant of success.
To be successful, the incumbent must have:
Extensive experience in the asset management industry with a focus on equity market risk, gained through roles in risk management or investment departments.
A clear understanding of buy-side risk management, equity investment strategies, and global financial markets.
The ability to communicate effectively with the team and key stakeholders, including senior investment division leaders, portfolio managers, and external clients/prospects/consultants.
Programming skills to process and visualize data and perform computations efficiently.
Responsibilities
Day-to-day Risk Management:
- Review and interpret equity risk analytics and dashboards.
- Identify, measure, monitor, and communicate key portfolios risks focusing on identifying significant sources of risk (e.g., factors, securities, sectors, etc.) and material changes in risk profiles.
- Analyze tail risks and conduct stress tests based on hypothetical and historical scenarios.
- Collaborate with equity investment staff to understand their strategies and risk taking in portfolios.
Risk Reporting & Tool Development:
- Prototype and develop risk reporting and interactive tools to extend upon vendor risk platforms (primarily MSCI BarraOne and RiskManager)
- Specify data requirements for inclusion in dashboards, and reports, and proprietary systems; research and develop new methodologies and techniques.
- Partner with Technology associates to define requirements and support testing throughout the development process.
- Present analytical results effectively to drive adoption among stakeholders.
Stakeholder Communication:
- Engage with a diverse range of stakeholders beyond frequent contact with investment teams, including client-facing professionals, management, oversight committees, clients, consultants, and prospective clients, as appropriate.
- Demonstrate technical expertise and an up-to-date knowledge of investment strategies and markets.
- Communicate complex topics confidently and clearly, both verbally and in writing.
- Contribute to timely written responses for client, prospect, consultant, regulatory, and internal requests.
Ad-hoc Analysis & Projects:
- Perform quantitative analyses in response to requests from investment management, portfolio managers, and risk team members.
- Collaborate with Investment Risk team members to ensure methodologies are sound and best practices are followed.
- Reconcile results with other in-house findings before sharing with investment teams.
Qualifications
Required:
- Passion for risk management and a demonstrated interest in financial markets through academic background, work experience and/or outside activities.
- Bachelor's degree in a quantitative or scientific field such as quantitative finance/economics, statistics, applied mathematics, operations research, engineering, computer science, or physics.
- Experience with quantitative risk evaluation methods such as volatility, tracking error and Value-at-Risk.
- Equity and risk management experience in asset management.
- Programming skills in common languages and statistical analysis packages.
- Experience using industry standard risk modelling and performance attribution systems such as MSCI BarraOne and RiskManager.
- Strong data analysis, interpersonal, and communication skills.
- High standards of integrity, work quality, and organizational skills.
- Self-starter with high motivation and collaborative spirit.
- Intellectual curiosity and commitment to continuous learning.
Preferred:
- Over 10 years of direct experience in equity risk management at a buy-side asset manager.
- Experience as a people leader.
- Master's or PhD degree in a quantitative or scientific discipline.
- Advanced programming skills (Python or R).
- Completion or progress towards professional risk or finance accreditations such as CFA, FRM, and PRM.
- Experience working for a global asset manager with key personnel in multiple regions.
FINRA Requirements
FINRA licenses are not required and will not be supported for this role.
Work Flexibility
This role is eligible for hybrid work, with up to one day per week from home.
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About T. Rowe Price
Sourced by ZipRecruiter
Industry
Funds, trusts and financial programs
Company size
5,001 - 10,000 Employees
Headquarters location
Baltimore, MD, US
Year founded
1937