Perform in depth audits of controls supporting market risk, and engage with market risk engineering ... Strong analytical and problem-solving skills * Good technical knowledge of products and relevant ...
Perform in depth audits of controls supporting market risk, and engage with market risk engineering ... Strong analytical and problem-solving skills * Good technical knowledge of products and relevant ...
Perform in depth audits of controls supporting market risk, and engage with market risk engineering ... Strong analytical and problem-solving skills * Good technical knowledge of products and relevant ...
Perform in depth audits of controls supporting market risk, and engage with market risk engineering ... Strong analytical and problem-solving skills * Good technical knowledge of products and relevant ...
Analyze quantitative risk metrics using financial models such as Value at Risk (VaR) and Stress Test measures, to estimate market risk impact on clients and the Firm. Provide training and guidance to ...
Analyze quantitative risk metrics using financial models such as Value at Risk (VaR) and Stress Test measures, to estimate market risk impact on clients and the Firm. Provide training and guidance to ...
Risk-Dallas-Vice President, Software Engineering-3704179
Dallas, TX · On-site
$130 - $180/hr
Analyze quantitative risk metrics using financial models such as Value at Risk (VaR) and Stress Test measures to estimate market risk impact on clients and the Firm. Provide training and guidance to ...
Risk-Dallas-Vice President, Software Engineering-3704179
Dallas, TX · On-site
$130 - $180/hr
Analyze quantitative risk metrics using financial models such as Value at Risk (VaR) and Stress Test measures to estimate market risk impact on clients and the Firm. Provide training and guidance to ...
Analyze quantitative risk metrics using financial models such as Value at Risk (VaR) and Stress Test measures, to estimate market risk impact on clients and the Firm. Provide training and guidance to ...
Analyze quantitative risk metrics using financial models such as Value at Risk (VaR) and Stress Test measures, to estimate market risk impact on clients and the Firm. Provide training and guidance to ...
Analyze quantitative risk metrics using financial models such as Value at Risk (VaR) and Stress Test measures to estimate market risk impact on clients and the Firm. Provide training and guidance to ...
Analyze quantitative risk metrics using financial models such as Value at Risk (VaR) and Stress Test measures to estimate market risk impact on clients and the Firm. Provide training and guidance to ...
Responsibilities include programming ETL operations and providing insights on market risk ... analysis experience. The position offers an opportunity to mentor junior team members within a ...
Responsibilities include programming ETL operations and providing insights on market risk ... analysis experience. The position offers an opportunity to mentor junior team members within a ...
Senior Treasury Risk Analyst
Plano, TX · On-site
Senior Treasury Risk Analyst Job Location: Plano Texas Job duration: 6 months * AOR ALM * The ... and comprehensive market and financial analysis to support strategy, proposals, and market ...
Senior Treasury Risk Analyst
Plano, TX · On-site
Senior Treasury Risk Analyst Job Location: Plano Texas Job duration: 6 months * AOR ALM * The ... and comprehensive market and financial analysis to support strategy, proposals, and market ...
Risk Analysis Associate
Dallas, TX · On-site
... market, liquidity, and credit risks. This is a junior analyst role working in partnership with experienced SMEs to build knowledge of covered products and relevant risk trends. Role reviews and ...
Risk Analysis Associate
Dallas, TX · On-site
... market, liquidity, and credit risks. This is a junior analyst role working in partnership with experienced SMEs to build knowledge of covered products and relevant risk trends. Role reviews and ...
Risk Analysis Associate
Dallas, TX · On-site
... market, liquidity, and credit risks. This is a junior analyst role working in partnership with experienced SMEs to build knowledge of covered products and relevant risk trends. Role reviews and ...
Risk Analysis Associate
Dallas, TX · On-site
... market, liquidity, and credit risks. This is a junior analyst role working in partnership with experienced SMEs to build knowledge of covered products and relevant risk trends. Role reviews and ...
Job Summary Lead Risk Analyst - Modeling & Valuation is responsible for analyzing and valuing ... This role operates at the intersection of origination, trading, and risk, translating market views ...
Job Summary Lead Risk Analyst - Modeling & Valuation is responsible for analyzing and valuing ... This role operates at the intersection of origination, trading, and risk, translating market views ...
Job Summary Lead Risk Analyst - Modeling & Valuation is responsible for analyzing and valuing ... This role operates at the intersection of origination, trading, and risk, translating market views ...
Job Summary Lead Risk Analyst - Modeling & Valuation is responsible for analyzing and valuing ... This role operates at the intersection of origination, trading, and risk, translating market views ...
Job Summary Lead Risk Analyst - Modeling & Valuation is responsible for analyzing and valuing ... This role operates at the intersection of origination, trading, and risk, translating market views ...
Job Summary Lead Risk Analyst - Modeling & Valuation is responsible for analyzing and valuing ... This role operates at the intersection of origination, trading, and risk, translating market views ...
Job Summary Lead Risk Analyst - Modeling & Valuation is responsible for analyzing and valuing ... This role operates at the intersection of origination, trading, and risk, translating market views ...
Job Summary Lead Risk Analyst - Modeling & Valuation is responsible for analyzing and valuing ... This role operates at the intersection of origination, trading, and risk, translating market views ...
This role operates at the intersection of origination, trading, and risk, translating market views ... scenario analysis and simulation techniques • Identify key drivers of value and risk across ...
This role operates at the intersection of origination, trading, and risk, translating market views ... scenario analysis and simulation techniques • Identify key drivers of value and risk across ...
Lead Risk Analyst - Modeling and Valuation
Irving, TX · On-site
$90 - $130/hr
This role operates at the intersection of origination, trading, and risk, translating market views ... scenario analysis and simulation techniques • Identify key drivers of value and risk across ...
New
Lead Risk Analyst - Modeling and Valuation
Irving, TX · On-site
$90 - $130/hr
This role operates at the intersection of origination, trading, and risk, translating market views ... scenario analysis and simulation techniques • Identify key drivers of value and risk across ...
New
Financial/Treasury Risk Analyst Work Location : Coppell, TX Duration : 12 months Must Haves: 2-5 ... Expertise in accounting/financial systems and Bloomberg (capital market research and analysis tool)
Financial/Treasury Risk Analyst Work Location : Coppell, TX Duration : 12 months Must Haves: 2-5 ... Expertise in accounting/financial systems and Bloomberg (capital market research and analysis tool)
Position Summary: The Senior Risk Analyst, Commercial Lending Analytics, will support the ... market valuations, depreciation, and residuals. * Trouble-shoots data deficiencies and errors to ...
Quick apply
Position Summary: The Senior Risk Analyst, Commercial Lending Analytics, will support the ... market valuations, depreciation, and residuals. * Trouble-shoots data deficiencies and errors to ...
Position Summary: The Senior Risk Analyst, Commercial Lending Analytics, will support the ... market valuations, depreciation, and residuals. * Trouble-shoots data deficiencies and errors to ...
Position Summary: The Senior Risk Analyst, Commercial Lending Analytics, will support the ... market valuations, depreciation, and residuals. * Trouble-shoots data deficiencies and errors to ...
Senior Credit Risk Analyst - Auto Financing Country: United States of America It Starts Here ... Researches emerging credit risks, market trends, and credit risk management best practices, and ...
Senior Credit Risk Analyst - Auto Financing Country: United States of America It Starts Here ... Researches emerging credit risks, market trends, and credit risk management best practices, and ...
Market Risk Analyst information
See Dallas, TX salary details
$64.3K - $71.5K
13% of jobs
$78.6K is the 25th percentile. Wages below this are outliers.
$71.5K - $78.8K
13% of jobs
$78.8K - $86K
11% of jobs
$86K - $93.3K
0% of jobs
$93.3K - $100.5K
2% of jobs
$100.5K - $107.7K
9% of jobs
The median wage is $109.5K / yr.
$107.7K - $115K
11% of jobs
$115K - $122.2K
11% of jobs
$126.3K is the 75th percentile. Wages above this are outliers.
$122.2K - $129.5K
12% of jobs
$129.5K - $136.7K
9% of jobs
$136.7K - $143.9K
11% of jobs
$64.3K
$107.2K
$143.9K
How much do market risk analyst jobs pay per year?
What are the key skills and qualifications needed to thrive as a market risk analyst?
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.
How much does a market risk analyst make?
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.

Goldman Sachs rating
8.3
Based on 27 frontline employees who took The Breakroom Quiz
47th of 170 rated banks
Job description
Internal Audit, Analyst, Risk, Dallas
GOLDMAN SACHS
The Goldman Sachs Group, Inc. is a leading global investment banking, securities and investment management firm that provides a wide range of financial services to a substantial and diversified client base that includes corporations, financial institutions, governments, and individuals. Founded in 1869, the firm is headquartered in New York and maintains offices in all major financial centers around the world. We commit people, capital and ideas to help our clients, shareholders and the communities we serve to grow. Our people are our greatest asset - we say it often and with good reason. It is only with the determination and dedication of our people that we can serve our clients, generate long-term value for our shareholders and contribute to the broader public. We take pride in supporting each colleague both professionally and personally. From collaborative workspaces and ergonomic services to wellbeing and resilience offerings, we offer our people the flexibility and support they need to reach their goals in and outside the office.
INTERNAL AUDIT
In Internal Audit, we ensure that Goldman Sachs maintains effective controls by assessing the reliability of financial reports, monitoring the firm's compliance with laws and regulations, and advising management on developing smart control solutions. Our group has unique insight on the financial industry and its products and operations. We're looking for detail-oriented team players who have an interest in financial markets and want to gain insight into the firm's operations and control processes.
WHAT WE LOOK FOR
Goldman Sachs Internal Auditors demonstrate a strong risk and control mindset, are analytical, exercise professional skepticism and can discuss and challenge effectively with management on key risks and control measures. We look for individuals who enjoy learning about audit, businesses and functions, have an innovative and creative mindset to adopt analytical techniques for audit requirements, build stakeholder relationships, and can evolve and thrive in a fast-paced team-oriented global environment.
YOUR IMPACT
As the third line of defense, Internal Audit's mission is to independently assess the firm's internal control structure, including the firm's governance processes and controls, risk management, capital and anti-financial crime frameworks, raise awareness of control risk and monitor the implementation of management's control measures. In doing so, Internal Audit:
- Communicates and reports on the effectiveness of the firm's governance, risk management and controls that mitigate current and evolving risk
- Raise awareness of control risk
- Assesses the firm's control culture and conduct risks
- Monitors management's implementation of control measures
Goldman Sachs Internal Audit comprises individuals from diverse backgrounds including chartered accountants, developers, risk management professionals, cybersecurity professionals, and data scientists. We are organized into global teams, comprising business and technology auditors, to cover all the firm's businesses and functions, including securities, investment banking, consumer and investment management, risk management, finance, cyber-security and technology risk, and engineering.
RESPONSIBILITIES
- Lead audit execution, including planning, scoping, and reporting of risk-based and regulatory required audits of business areas
- Perform risk assessments of related organization units and ongoing monitoring of covered areas, with active discussions with senior management across Internal Audit and the business
- Define audit scope, perform detailed walkthroughs to evaluate the adequacy of control designs, develop test plans, and perform testing to assess control operating effectiveness
- Present the scope, progress, and results of the review to Internal Audit management and liaise with business stakeholders on issue identification and resolution
- Perform in depth audits of controls supporting market risk, and engage with market risk engineering and specialists to develop deep understanding of the relevant controls
- Maintain ongoing discussions with senior stakeholders to understand any changes to organizational structures, business processes, and products, as well as any significant internal and external events, to formulate a point of view of the control environment
- Develop annual audit coverage plan, including risk assess organization units, identifying high risk areas and meeting regulatory expectations
SKILLS AND RELEVANT EXPERIENCE
- Bachelor's degree in Finance, Accounting, or related fields
- Effective audit mindset to be able to independently assess the firm's internal control structure for market risk
- Strong interpersonal, and relationship management skills
- Strong verbal and written communication skills
- Strong analytical and problem-solving skills
- Good technical knowledge of products and relevant market risk metrics
- Highly motivated with the ability to multi-task and remain organized in a fast-paced, team-oriented environment
- Knowledge of capital adequacy related topics, spanning current and future capital regimes (i.e., Basel 2.5 and FRTB)
PREFERRED EXPERIENCE
- Technical awareness and understanding of market risk management, stress testing, risk identification, limits / risk appetite, capital and regulatory reporting
- 1+ years of experience in market risk analytics, management, reporting and risk governance, or an Internal Audit role covering market risk controls / processes within the financial services industry or Big 4 risk advisory
What Goldman Sachs employees say
Pay
Benefits
Hours and flexibility
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About Goldman Sachs
Sourced by ZipRecruiter
At Goldman Sachs, we commit our people, capital and ideas to help our clients, shareholders and the communities we serve to grow. Founded in 1869, we are a leading global investment banking, securities and investment management firm. Headquartered in New York, we maintain offices around the world. We believe who you are makes you better at what you do. We're committed to fostering and advancing diversity and inclusion in our own workplace and beyond by ensuring every individual within our firm has a number of opportunities to grow professionally and personally, from our training and development opportunities and firmwide networks to benefits, wellness and personal finance offerings and mindfulness programs.
Industry
Finance and insurance
Company size
10,000+ Employees
Headquarters location
New York, NY, US
Year founded
1869