What role you will play on our team The Market Risk Analyst position is responsible for monitoring trading activities for compliance with Market Risk Management policies and developing and ...
What role you will play on our team The Market Risk Analyst position is responsible for monitoring trading activities for compliance with Market Risk Management policies and developing and ...
The Digital Risk Analyst is part of Corporate Treasury - Credit & Risk Control ... This role is responsible for providing strategic and effective market risk management and commodity ...
The Digital Risk Analyst is part of Corporate Treasury - Credit & Risk Control ... This role is responsible for providing strategic and effective market risk management and commodity ...
Risk Control Digital Analyst
Houston, TX · On-site
The Digital Risk Analyst is part of Corporate Treasury - Credit & Risk Control ... This role is responsible for providing strategic and effective market risk management and commodity ...
Risk Control Digital Analyst
Houston, TX · On-site
The Digital Risk Analyst is part of Corporate Treasury - Credit & Risk Control ... This role is responsible for providing strategic and effective market risk management and commodity ...
What role you will play on our team The Market Risk Analyst position is responsible for monitoring trading activities for compliance with Market Risk Management policies and developing and ...
What role you will play on our team The Market Risk Analyst position is responsible for monitoring trading activities for compliance with Market Risk Management policies and developing and ...
What role you will play on our team The Market Risk Analyst position is responsible for monitoring trading activities for compliance with Market Risk Management policies and developing and ...
What role you will play on our team The Market Risk Analyst position is responsible for monitoring trading activities for compliance with Market Risk Management policies and developing and ...
What role you will play on our team The Market Risk Analyst position is responsible for monitoring trading activities for compliance with Market Risk Management policies and developing and ...
What role you will play on our team The Market Risk Analyst position is responsible for monitoring trading activities for compliance with Market Risk Management policies and developing and ...
Senior Risk Analyst - Interest Rate Risk
Buffalo, NY · On-site
$103K - $171K/yr
Overview The Senior Risk Analyst - Market Risk is a strategic contributor within the second line of defense, supporting the Treasury Risk Management Oversight (TRMO) team, responsible for market risk ...
Senior Risk Analyst - Interest Rate Risk
Buffalo, NY · On-site
$103K - $171K/yr
Overview The Senior Risk Analyst - Market Risk is a strategic contributor within the second line of defense, supporting the Treasury Risk Management Oversight (TRMO) team, responsible for market risk ...
PolyPath Market Risk Specialist Country: United States of America It Starts Here: Santander is a ... Analyze system issues, performance bottlenecks, data discrepancies, and production incidents ...
New
PolyPath Market Risk Specialist Country: United States of America It Starts Here: Santander is a ... Analyze system issues, performance bottlenecks, data discrepancies, and production incidents ...
New
Senior Risk Analyst - Interest Rate Risk
$103K - $171K/yr
Overview The Senior Risk Analyst - Market Risk is a strategic contributor within the second line of defense, supporting the Treasury Risk Management Oversight (TRMO) team, responsible for market risk ...
Senior Risk Analyst - Interest Rate Risk
$103K - $171K/yr
Overview The Senior Risk Analyst - Market Risk is a strategic contributor within the second line of defense, supporting the Treasury Risk Management Oversight (TRMO) team, responsible for market risk ...
Market Risk Analytics Associate, Stress Testing and AI Integration
New York, NY · Hybrid
$100K - $140K/yr
... Analyst or equivalent in quantitative fields (quantitative finance and risk management fields are preferred) >Proficiency in Python and database query languages and Microsoft products >Familiarity ...
Market Risk Analytics Associate, Stress Testing and AI Integration
New York, NY · Hybrid
$100K - $140K/yr
... Analyst or equivalent in quantitative fields (quantitative finance and risk management fields are preferred) >Proficiency in Python and database query languages and Microsoft products >Familiarity ...
Market Risk Analytics Associate, Stress Testing and AI Integration
New York, NY · Hybrid
$100K - $140K/yr
... Analyst or equivalent in quantitative fields (quantitative finance and risk management fields are preferred) >Proficiency in Python and database query languages and Microsoft products >Familiarity ...
Market Risk Analytics Associate, Stress Testing and AI Integration
New York, NY · Hybrid
$100K - $140K/yr
... Analyst or equivalent in quantitative fields (quantitative finance and risk management fields are preferred) >Proficiency in Python and database query languages and Microsoft products >Familiarity ...
Perform Market Risk RWA analysis and reporting for trading assets and liabilities across Fixed Income, FX, Equities, Commodities, Traded Credit, and Securitized products * Lead the development and ...
Perform Market Risk RWA analysis and reporting for trading assets and liabilities across Fixed Income, FX, Equities, Commodities, Traded Credit, and Securitized products * Lead the development and ...
Sr Analyst, Market Risk
Houston, TX · On-site
Review, analyze, interpret, and provide daily risk exposure reporting; identify and resolve issues related to market risk * Monitor Trading activity and report any breaches in positions or risk ...
Sr Analyst, Market Risk
Houston, TX · On-site
Review, analyze, interpret, and provide daily risk exposure reporting; identify and resolve issues related to market risk * Monitor Trading activity and report any breaches in positions or risk ...
Review, analyze, interpret, and provide daily risk exposure reporting; identify and resolve issues related to market risk * Monitor Trading activity and report any breaches in positions or risk ...
Review, analyze, interpret, and provide daily risk exposure reporting; identify and resolve issues related to market risk * Monitor Trading activity and report any breaches in positions or risk ...
Analyst, Power Market Risk
Baltimore, MD · On-site
$79K - $88K/yr
As a key contributor to the regional Power Portfolio, this role supports the desk manager in monitoring market risks by identifying key risk drivers, analyzing exposures, and assessing PNL impacts ...
Analyst, Power Market Risk
Baltimore, MD · On-site
$79K - $88K/yr
As a key contributor to the regional Power Portfolio, this role supports the desk manager in monitoring market risks by identifying key risk drivers, analyzing exposures, and assessing PNL impacts ...
Sr Analyst, Market Risk
Houston, TX · On-site
Review, analyze, interpret, and provide daily risk exposure reporting; identify and resolve issues related to market risk * Monitor Trading activity and report any breaches in positions or risk ...
Sr Analyst, Market Risk
Houston, TX · On-site
Review, analyze, interpret, and provide daily risk exposure reporting; identify and resolve issues related to market risk * Monitor Trading activity and report any breaches in positions or risk ...
Job Title: Business Analyst (Credit Risk, Market Risk, Counterparty Risk) Location: New York, NY (onsite) Duration: 12 months Job Type: W2 contract. We are seeking an experienced Risk Business ...
Quick apply
Job Title: Business Analyst (Credit Risk, Market Risk, Counterparty Risk) Location: New York, NY (onsite) Duration: 12 months Job Type: W2 contract. We are seeking an experienced Risk Business ...
Review, analyze, interpret, and provide daily risk exposure reporting; identify and resolve issues related to market risk * Monitor Trading activity and report any breaches in positions or risk ...
Review, analyze, interpret, and provide daily risk exposure reporting; identify and resolve issues related to market risk * Monitor Trading activity and report any breaches in positions or risk ...
AVP, Market Risk
Westlake Village, CA · On-site
$100K - $123K/yr
AVP, Market Risk Location: CA - Westlake Village What you'll do: The AVP, Market Risk plays a ... Participate in the continuous improvement of risk infrastructure, analytics, and reporting ...
AVP, Market Risk
Westlake Village, CA · On-site
$100K - $123K/yr
AVP, Market Risk Location: CA - Westlake Village What you'll do: The AVP, Market Risk plays a ... Participate in the continuous improvement of risk infrastructure, analytics, and reporting ...
The Market Risk function, within Enterprise Risk Management, is responsible for overseeing market ... Through robust analytics, forward-looking risk assessments, and capital impact analysis, the team ...
The Market Risk function, within Enterprise Risk Management, is responsible for overseeing market ... Through robust analytics, forward-looking risk assessments, and capital impact analysis, the team ...
Market RISK Analyst information
See salary details
$65K - $72.3K
13% of jobs
$79.5K is the 25th percentile. Wages below this are outliers.
$72.3K - $79.6K
13% of jobs
$79.6K - $87K
11% of jobs
$87K - $94.3K
0% of jobs
$94.3K - $101.6K
2% of jobs
$101.6K - $108.9K
9% of jobs
The median wage is $110.7K / yr.
$108.9K - $116.2K
11% of jobs
$116.2K - $123.5K
11% of jobs
$127.7K is the 75th percentile. Wages above this are outliers.
$123.5K - $130.9K
12% of jobs
$130.9K - $138.2K
9% of jobs
$138.2K - $145.5K
11% of jobs
$65K
$108.3K
$145.5K
How much do market risk analyst jobs pay per year?
What are the key skills and qualifications needed to thrive in the Market Risk Analyst position, and why are they important?
To thrive as a Market Risk Analyst, you need a strong analytical background in finance, economics, or mathematics, often supported by a relevant degree. Familiarity with financial modeling software, statistical tools like Excel, VBA, Python, R, and certifications such as FRM or CFA are highly valued. Attention to detail, problem-solving abilities, and effective communication skills help analysts interpret data and explain risk assessments to stakeholders. These competencies are essential for accurately identifying, quantifying, and communicating risks to inform decision-making within financial organizations.
What are the typical day-to-day responsibilities of a Market Risk Analyst?
A Market Risk Analyst’s daily tasks often involve monitoring market movements, preparing risk reports, analyzing trading portfolios for potential exposures, and conducting stress tests or scenario analyses. They collaborate closely with traders, portfolio managers, and risk management teams to ensure that financial risks are properly identified and managed. Additionally, they may contribute to the development of risk models and participate in meetings to discuss emerging market trends or regulatory requirements. This fast-paced environment requires a combination of technical knowledge, timely analysis, and strong teamwork to support sound financial decision-making.
What is the salary of market risk analyst?
What is the role of a market risk analyst?
How much do risk analysts get paid?
What does a Market Risk Analyst do?
A Market Risk Analyst assesses financial risks that arise due to market fluctuations in interest rates, exchange rates, commodities, and equities. They analyze trading activities, develop risk models, and provide insights to help firms mitigate potential losses. Their role involves monitoring market conditions, stress testing portfolios, and ensuring compliance with risk regulations. Using statistical tools and financial models, they help organizations make informed investment and risk management decisions.
What degree do you need to be a market risk analyst?

Full-time
Medical, Life, Retirement
Posted 3 days ago
ExxonMobil rating
6.1
Based on 224 frontline employees who took The Breakroom Quiz
53rd of 74 rated oil and gas companies
Job description
About us
At ExxonMobil, our vision is to lead in energy innovations that advance modern living and a net-zero future. As one of the world’s largest publicly traded energy and chemical companies, we are powered by a unique and diverse workforce fueled by the pride in what we do and what we stand for.
The success of our Upstream, Product Solutions and Low Carbon Solutions businesses is the result of the talent, curiosity and drive of our people. They bring solutions every day to optimize our strategy in energy, chemicals, lubricants and lower-emissions technologies.
We invite you to bring your ideas to ExxonMobil to help create sustainable solutions that improve quality of life and meet society’s evolving needs. Learn more about our What and our Why and how we can work together.
The Market Risk Analyst position is responsible for monitoring trading activities for compliance with Market Risk Management policies and developing and maintaining tools for Global Trading activities. You will be responsible for independently identifying, measuring, and reporting trading gross margin, exposures, and the market risk of the portfolio of transactions that are executed and owned by the Commercial organization. You will work with a dynamic, global team in a high-visibility role that provides advice to the Commercial organization on risk appetite, risk limit utilization and market risk mitigation strategies, and risk assessments and insights to senior management.
- Act as Market Risk focal point for front-office and senior stakeholders. Develop strong relationships with Commercial stakeholders and possess deep end-to-end understanding of Global Trading strategies, associated exposures and future growth aspirations for the trade desk supported.
- Understand supply and demand fundamentals, including regional/locational price differences, fundamental drivers of changes in these spreads, historical market direction and trends/underlying fundamental causes.
- Show a strong commitment to market risk management principles, including being proactive, transparent, and open to debate with Global Trading as necessary.
- Independently assess and advise on risk profiles from the trade to portfolio level (e.g., risk reward trade-off, optimization of constrained risk, liquidity, market fundamentals, and market sentiment sensitivities).
- Ensure adherence to mandated exposure and risk limits and provide guidance on actions to be taken to reduce risk if necessary.
- Execute daily market risk processes and generate risk reports, collaborating closely with Global Trading teams to manage market risk.
- Provide daily, insightful commentary of key portfolio activity including their implications for market intelligence, exposure changes, and new deal activity.
- Collaborate with Global Trading support functions (e.g. Finance, Accounting) for deal support and general portfolio queries.
- Ensure Global Trading data integrity by validating positions and reconciling any inconsistencies with responsible traders.
- Review plan for hedging and provide support to develop Global Trading limits. Ensure that the proposed transaction and associated hedges can be properly valued and reported by the risk management system of record.
- Further develop and build out Risk reporting and ad-hoc analysis tools using advanced computer skills (e.g. Excel, VBA, SQL, Python, R, Tableau, Power BI).
- Participate in month, quarter, and year-end closing processes.
- Work closely (daily) with refinery coordinators and optimizers, product schedulers and crude traders. to validate production data and trades impacting inventory positions and generate hedging signals.
- Bachelor's degree or above (Master's, MBA, CFA, or Ph.D.) in Economics, Finance, Mathematics or Statistics
- 2-4 years of experience in financial, energy or chemical risk management
- Strong knowledge of crude oil and freight markets, as well as other energy and traded markets
- Strong understanding of physical trading, derivatives, and financial products
- Excellent quantitative and analytical skills
- Excellent proficiency in Excel (experience with SQL or quantitative programming languages such as Python preferred)
- Experience with Energy Trading Risk Management Systems
- Collegiality and truly good interpersonal skills balanced with a disciplined risk management approach
- Experience with Python/SQL
- High level of Excel proficiency
- Familiarity with trade capture and nomination / scheduling systems
An ExxonMobil career is one designated to last. Our commitment to you runs deep: our employees grow personally and professionally, with benefits built on our core categories of health, security, finance, and life.
We offer you:
- Competitive salary
- Defined Benefit Pension scheme
- Share incentive plan
- Private healthcare for employees and their families
More information on our Company’s benefits can be found at www.exxonmobilfamily.com.
Please note benefits are subject exclusively to the terms of each plan’s governing documents and may be changed from time to time without notice, subject to applicable law.
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Equal Opportunity Employer
ExxonMobil is an Equal Opportunity Employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, age, sexual orientation, gender identity, national origin, citizenship status, protected veteran status, genetic information, or physical or mental disability.
Nothing herein is intended to override the corporate separateness of local entities. Working relationships discussed herein do not necessarily represent a reporting connection, but may reflect a functional guidance, stewardship, or service relationship.
Exxon Mobil Corporation has numerous affiliates, many with names that include ExxonMobil, Exxon, Esso and Mobil. For convenience and simplicity, those terms and terms like corporation, company, our, we and its are sometimes used as abbreviated references to specific affiliates or affiliate groups. Abbreviated references describing global or regional operational organizations and global or regional business lines are also sometimes used for convenience and simplicity. Similarly, ExxonMobil has business relationships with thousands of customers, suppliers, governments, and others. For convenience and simplicity, words like venture, joint venture, partnership, co-venturer, and partner are used to indicate business relationships involving common activities and interests, and those words may not indicate precise legal relationships.
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About ExxonMobil
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Company size
10,000+ Employees
Headquarters location
Irving, TX, US
Year founded
1870