Credit Risk, Liquidity Risk, Market Risk, Capital Management/Stress Testing * Knowledge of financial services business models, products, and services * Experience in banking, digital assets, or ...
Credit Risk, Liquidity Risk, Market Risk, Capital Management/Stress Testing * Knowledge of financial services business models, products, and services * Experience in banking, digital assets, or ...
Credit Risk, Liquidity Risk, Market Risk, Capital Management/Stress Testing * Knowledge of financial services business models, products, and services * Experience in banking, digital assets, or ...
Credit Risk, Liquidity Risk, Market Risk, Capital Management/Stress Testing * Knowledge of financial services business models, products, and services * Experience in banking, digital assets, or ...
Personal Risk Specialist
Troy, MI · On-site
$93K/yr
Manage employee and prospect data, including development of prospect lists from business clients ... Strong knowledge of carriers and personal insurance market place. * Understand and commit to mutual ...
Personal Risk Specialist
Troy, MI · On-site
$93K/yr
Manage employee and prospect data, including development of prospect lists from business clients ... Strong knowledge of carriers and personal insurance market place. * Understand and commit to mutual ...
Risk & Finance Analyst
Detroit, MI · On-site
... risk management needs. * Perform in-depth research on insurance market trends, regulatory changes, and emerging risk factors that may impact the captive insurance strategy. * Assist in the ...
Risk & Finance Analyst
Detroit, MI · On-site
... risk management needs. * Perform in-depth research on insurance market trends, regulatory changes, and emerging risk factors that may impact the captive insurance strategy. * Assist in the ...
... risk management needs. * Perform in-depth research on insurance market trends, regulatory changes, and emerging risk factors that may impact the captive insurance strategy. * Assist in the ...
... risk management needs. * Perform in-depth research on insurance market trends, regulatory changes, and emerging risk factors that may impact the captive insurance strategy. * Assist in the ...
Sales Associate - Group Benefits
Bloomfield, MI · On-site
$13.25 - $18/hr
... a defined market; coordinates personal sales efforts with department team members and other ... risk management programs. • Designs and presents customized insurance solutions and ...
Sales Associate - Group Benefits
Bloomfield, MI · On-site
$13.25 - $18/hr
... a defined market; coordinates personal sales efforts with department team members and other ... risk management programs. • Designs and presents customized insurance solutions and ...
Sales Associate - Group Benefits
$13.25 - $18/hr
... a defined market; coordinates personal sales efforts with department team members and other ... risk management programs. · Designs and presents customized insurance solutions and ...
Sales Associate - Group Benefits
$13.25 - $18/hr
... a defined market; coordinates personal sales efforts with department team members and other ... risk management programs. · Designs and presents customized insurance solutions and ...
... risk management and insurance solutions. This role serves as the primary client contact, providing ... · Market accounts to carriers, compile underwriting information, and negotiate terms. · Support ...
... risk management and insurance solutions. This role serves as the primary client contact, providing ... · Market accounts to carriers, compile underwriting information, and negotiate terms. · Support ...
Senior Client Manager, Middle Market - Position Summary Responsible for managing an assigned book ... risk management and insurance solutions, and providing direction to internal support teams. This ...
Senior Client Manager, Middle Market - Position Summary Responsible for managing an assigned book ... risk management and insurance solutions, and providing direction to internal support teams. This ...
Senior Client Manager - Construction
Bloomfield, MI · On-site +1
... risk management and insurance solutions. This role serves as the primary client contact, providing ... insurance programs. • Market accounts to carriers, compile underwriting information, and ...
Senior Client Manager - Construction
Bloomfield, MI · On-site +1
... risk management and insurance solutions. This role serves as the primary client contact, providing ... insurance programs. • Market accounts to carriers, compile underwriting information, and ...
Senior Client Manager, Middle Market - Position Summary Responsible for managing an assigned book ... risk management and insurance solutions, and providing direction to internal support teams. This ...
Senior Client Manager, Middle Market - Position Summary Responsible for managing an assigned book ... risk management and insurance solutions, and providing direction to internal support teams. This ...
Sales Executive - P&C
Bloomfield, MI · On-site
... defined market while building, maintaining, and growing a book of business aligned to annual ... risk management solutions. This role is both strategic and hands-on, requiring proactive ...
Sales Executive - P&C
Bloomfield, MI · On-site
... defined market while building, maintaining, and growing a book of business aligned to annual ... risk management solutions. This role is both strategic and hands-on, requiring proactive ...
Lead and manage complex IT risk advisory and internal audit engagements for middle-market and large clients * Advise clients on IT governance, IT general controls (ITGCs), cybersecurity risk, SOX ...
Lead and manage complex IT risk advisory and internal audit engagements for middle-market and large clients * Advise clients on IT governance, IT general controls (ITGCs), cybersecurity risk, SOX ...
... defined market while building, maintaining, and growing a book of business aligned to annual ... risk management solutions. This role is both strategic and hands-on, requiring proactive ...
... defined market while building, maintaining, and growing a book of business aligned to annual ... risk management solutions. This role is both strategic and hands-on, requiring proactive ...
Lead and manage complex IT risk advisory and internal audit engagements for middle-market and large clients * Advise clients on IT governance, IT general controls (ITGCs), cybersecurity risk, SOX ...
Lead and manage complex IT risk advisory and internal audit engagements for middle-market and large clients * Advise clients on IT governance, IT general controls (ITGCs), cybersecurity risk, SOX ...
Banking Market Manager
Detroit, MI · On-site
$146K - $271K/yr
... Risk Management Framework. PNC also has fundamental expectations of our people managers. As a ... market data and on individual skills, experience, and education. This role is incentive eligible ...
Banking Market Manager
Detroit, MI · On-site
$146K - $271K/yr
... Risk Management Framework. PNC also has fundamental expectations of our people managers. As a ... market data and on individual skills, experience, and education. This role is incentive eligible ...
Banking Market Manager
$146K - $271K/yr
... Risk Management Framework. PNC also has fundamental expectations of our people managers. As a ... market data and on individual skills, experience, and education. This role is incentive eligible ...
Banking Market Manager
$146K - $271K/yr
... Risk Management Framework. PNC also has fundamental expectations of our people managers. As a ... market data and on individual skills, experience, and education. This role is incentive eligible ...
Associate Market Manager
Birmingham, MI · On-site
$31.50 - $43/hr
Risk management for the Market in regards to monitoring sales, human resources, and legal and regulatory practices * Assists in the creation and administration of an Annual Supervisory Plan for the ...
Associate Market Manager
Birmingham, MI · On-site
$31.50 - $43/hr
Risk management for the Market in regards to monitoring sales, human resources, and legal and regulatory practices * Assists in the creation and administration of an Annual Supervisory Plan for the ...
... and market data feeds, including Bloomberg or Reuters * Experience with cash management, foreign exchange, debt capital markets, and interest rate risk management * Experience supporting sales ...
... and market data feeds, including Bloomberg or Reuters * Experience with cash management, foreign exchange, debt capital markets, and interest rate risk management * Experience supporting sales ...
Familiarity with third-party risk management frameworks (TPRM) * Experience with IT financial management, chargeback/showback models * Experience developing vendor market intelligence and ...
Familiarity with third-party risk management frameworks (TPRM) * Experience with IT financial management, chargeback/showback models * Experience developing vendor market intelligence and ...
Market Risk Management information
See Detroit, MI salary details
$10.9K - $27K
0% of jobs
$27K - $43.1K
0% of jobs
$43.1K - $59.2K
0% of jobs
$59.2K - $75.3K
0% of jobs
$75.3K - $91.4K
0% of jobs
$91.4K - $107.5K
0% of jobs
$107.5K - $123.7K
0% of jobs
$128K is the 25th percentile. Wages below this are outliers.
$123.7K - $139.8K
92% of jobs
$139.8K - $155.9K
0% of jobs
$155.9K - $172K
0% of jobs
$172K - $188.1K
8% of jobs
$10.9K
$140.9K
$188.1K
How much do market risk management jobs pay per year?
How does a typical day in Market Risk Management involve collaboration with other departments?
What is the highest paying risk management job?
What is a market risk job?
What are the key skills and qualifications needed to thrive in Market Risk Management, and why are they important?
What is the difference between Market Risk Management vs Credit Risk Analysis?
| Aspect | Market Risk Management | Credit Risk Analysis |
|---|---|---|
| Primary Focus | Managing risks from market fluctuations, such as interest rates, currency, and equity prices | Assessing the creditworthiness of borrowers and managing credit exposure |
| Required Credentials | Finance, risk management certifications, often CFA or FRM | Finance, credit analysis certifications, often CFA or credit-specific courses |
| Work Environment | Financial institutions, trading floors, risk departments | Banks, lending institutions, credit departments |
| Industry Usage | Widely used in trading, investment, and risk departments | Common in banking, lending, and credit institutions |
While both roles involve risk assessment, Market Risk Management focuses on market-related risks like price fluctuations, whereas Credit Risk Analysis concentrates on the creditworthiness of borrowers. Both require similar certifications and often work within the same financial institutions, but their core responsibilities differ based on the type of risk managed.
What do market risk managers do?
What is market risk management?
Is market risk management a good career?

Deloitte rating
8.1
Based on 90 frontline employees who took The Breakroom Quiz
59th of 148 rated financial services
Job description
Financial Services Manager - Financial Risk
Our Deloitte Regulatory, Risk & Forensic team helps client leaders translate multifaceted risk and an evolving regulatory environment into defensible actions that strengthen, protect, and transform their organizations. Join our team and use advanced data, AI, and emerging technologies with industry insights to help clients bring clarity from complexity and accelerate their path to value creation.
Recruiting for this role ends on 9/1/2026.
Work You'll Do
As a Manager, you will have opportunities to:
- Learn how to identify, evaluate, and prioritize business, operational, regulatory, and technology risks as well as risk mitigation strategies for our clients
- Understand the impact of key technology trends and workforce changes impacting our clients through engagement with innovative and emergent technologies, including cloud computing, big data and analytics, process automation, artificial intelligence / machine learning, and other digital strategies
- Manage the development of client deliverables or for internal business needs
- Serve on workstreams for complex projects, liaise with client counterparts, and actively participate in discussions on project management and work delivery needs
- Manage project teams in providing recommendations to improve or transform processes to gain efficiencies or scale or reduce risk for our clients
- Manage internal business development initiatives and sales opportunities, including the creation of external-facing industry perspectives, lead generation materials, or sales proposals
- Produce quality work products independently and collectively with team members throughout development lifecycle from initial conception to implementation
- Engage with industry participants on market trends, competitive activities, and topic-specific discussions impacting the industry, potentially including with clients, industry consortiums, or trade groups or committees
The successful candidate would possess these skills
- Ability to work independently and collaborate as part of a team
- Effective written and verbal communication skills
- Meticulous attention to detail and quality of work product
- Ability to build and sustain professional relationships
- Ability to lead projects or workstreams
- Ability to manage and prioritize multiple tasks in a fast-paced and dynamic environment
- Strong interpersonal skills and professional demeanor
- Ability to meet deadlines
- Ability to mentor and provide clear guidance to others
The Team
Our Regulatory & Financial Risk offering supports clients' regulatory and compliance needs, balancing risk and regulatory requirements with enhancing business value and optimizing outcomes. We deliver enhanced value through strategic transformation, end-to-end implementation, and a focus on business-as-usual sustainability across processes, controls, and data & analytic infrastructures.
Qualifications
Candidates will have exceptional records of professional achievement, experience working in a relevant financial services industry sector, and a demonstrated capacity and enthusiasm for self-paced development. Candidates will be expected to motivate others, build constructive relationships with clients and colleagues, and work both independently and as part of a team. Successful candidates will demonstrate an aptitude for complex problem-solving and analytical skills and the ability to communicate complex ideas clearly and persuasively across a variety of strategic, operational, technological, and risk management matters.
Required Qualifications
- Bachelor's degree in Finance, Economics, Business, Statistics, Mathematics, or related field
- 7+ years of experience in the financial services or consulting industry, supporting one or more of financial risk/related areas: Credit Risk, Liquidity Risk, Market Risk, Capital Management/Stress Testing
- Knowledge of financial services business models, products, and services
- Experience in banking, digital assets, or capital markets is desirable
- Strong relationship management skills, particularly the ability to build constructive and productive working relationships with clients and among Deloitte practitioners
- Experience with business transformation, regulatory remediation or change management initiatives as a result of strategic, regulatory, risk-related, technological, or operational evolutions
- Understanding of business processes, regulatory requirements, technology and governance for financial institutions
- Strong project / program management skills, particularly possessing a strong work ethic, a commitment to excellence in work product delivery, and the ability to independently manage multiple priorities and deadlines
- Strong oral and written communication skills, including the ability to lead business proposal development and sales presentations
- Ability to travel up to 50%, based on the work you do and the clients and industries/sectors you serve
- Limited immigration sponsorship may be available
Preferred Qualifications
- Advanced degree and/or certification (e.g., Quant MS, MBA, FRM, CFA, CRCM, CPA, PMP).
- Expertise in one or more Financial Risk domains:
- Credit Risk: Underwriting and portfolio credit risk across products (e.g., PD/LGD/EAD modeling support, credit policy/scorecards, risk rating systems, credit review/QA, allowance/CECL support, concentration/limit monitoring, early warning & remediation).
- Liquidity Risk: Treasury liquidity risk management and reporting (e.g., liquidity stress testing (LST), Liquidity Coverage Ratio (LCR), Net Stable Funding Ratio (NSFR), FR 2052a, contingency funding plans, intraday liquidity, collateral & cash management, asset-liability management (ALM)).
- Market Risk: Market and interest rate risk management practices (e.g., interest rate risk in the banking book (IRRBB) measurement, sensitivities/scenario analysis, model validation support, limit frameworks, capital markets product exposure understanding, controls and governance).
- Capital Management / Stress Testing: Capital planning and enterprise stress testing execution (e.g., scenario design support, model methodology governance, results aggregation, capital actions analysis, documentation and control testing, linkage to balance sheet and risk appetite, climate stress testing considerations).
- Strong understanding of end-to-end banking products/operations (deposits, cards, lending, underwriting; credit products and servicing).
- Subject matter expertise in one or more financial services areas (Retail, Commercial, Transaction, Wholesale, Cards & Payments, Wealth/Investment Mgmt, Capital Markets, Real Estate, FinTech/PE).
- Prior experience in risk management role or at a U.S. banking regulator.
- Familiarity with key regulatory initiatives and supervisory ecosystem (e.g., Dodd-Frank; FRB/Fed, OCC, CFTC), plus strong grasp of associated models, data, processes, and controls.
- Hands-on ability to analyze/model data using common languages/tools (Python, R, SAS, SQL).
- Experience supporting or implementing systems (trading, operations, lending, core banking, compliance, risk/case management, or data management)
- Familiarity with topics such as process design or mapping, workflow development, data management or migration, or analytics/visualization
- Experience with user acceptance testing, system configuration, monitoring, or issue resolution
- Ability to translate risk or regulatory requirements into actionable user stories or business needs
- Advanced proficiency in Microsoft Office (PowerPoint, Excel, Visio)
Information for applicants with a need for accommodation: https://www2.deloitte.com/us/en/pages/careers/articles/join-deloitte-assistance-for-disabled-applicants.html
The wage range for this role takes into account the wide range of factors that are considered in making compensation decisions including but not limited to skill sets; experience and training; licensure and certifications; and other business and organizational needs. The disclosed range estimate has not been adjusted for the applicable geographic differential associated with the location at which the position may be filled. At Deloitte, it is not typical for an individual to be hired at or near the top of the range for their role and compensation decisions are dependent on the facts and circumstances of each case. A reasonable estimate of the current range is $134500 to $265100.
Qualifications:Financial Services Manager - Financial Risk
Our Deloitte Regulatory, Risk & Forensic team helps client leaders translate multifaceted risk and an evolving regulatory environment into defensible actions that strengthen, protect, and transform their organizations. Join our team and use advanced data, AI, and emerging technologies with industry insights to help clients bring clarity from complexity and accelerate their path to value creation.
Recruiting for this role ends on 9/1/2026.
Work You'll Do
As a Manager, you will have opportunities to:
- Learn how to identify, evaluate, and prioritize business, operational, regulatory, and technology risks as well as risk mitigation strategies for our clients
- Understand the impact of key technology trends and workforce changes impacting our clients through engagement with innovative and emergent technologies, including cloud computing, big data and analytics, process automation, artificial intelligence / machine learning, and other digital strategies
- Manage the development of client deliverables or for internal business needs
- Serve on workstreams for complex projects, liaise with client counterparts, and actively participate in discussions on project management and work delivery needs
- Manage project teams in providing recommendations to improve or transform processes to gain efficiencies or scale or reduce risk for our clients
- Manage internal business development initiatives and sales opportunities, including the creation of external-facing industry perspectives, lead generation materials, or sales proposals
- Produce quality work products independently and collectively with team members throughout development lifecycle from initial conception to implementation
- Engage with industry participants on market trends, competitive activities, and topic-specific discussions impacting the industry, potentially including with clients, industry consortiums, or trade groups or committees
The successful candidate would possess these skills
- Ability to work independently and collaborate as part of a team
- Effective written and verbal communication skills
- Meticulous attention to detail and quality of work product
- Ability to build and sustain professional relationships
- Ability to lead projects or workstreams
- Ability to manage and prioritize multiple tasks in a fast-paced and dynamic environment
- Strong interpersonal skills and professional demeanor
- Ability to meet deadlines
- Ability to mentor and provide clear guidance to others
The Team
Our Regulatory & Financial Risk offering supports clients' regulatory and compliance needs, balancing risk and regulatory requirements with enhancing business value and optimizing outcomes. We deliver enhanced value through strategic transformation, end-to-end implementation, and a focus on business-as-usual sustainability across processes, controls, and data & analytic infrastructures.
Qualifications
Candidates will have exceptional records of professional achievement, experience working in a relevant financial services industry sector, and a demonstrated capacity and enthusiasm for self-paced development. Candidates will be expected to motivate others, build constructive relationships with clients and colleagues, and work both independently and as part of a team. Successful candidates will demonstrate an aptitude for complex problem-solving and analytical skills and the ability to communicate complex ideas clearly and persuasively across a variety of strategic, operational, technological, and risk management matters.
Required Qualifications
- Bachelor's degree in Finance, Economics, Business, Statistics, Mathematics, or related field
- 7+ years of experience in the financial services or consulting industry, supporting one or more of financial risk/related areas: Credit Risk, Liquidity Risk, Market Risk, Capital Management/Stress Testing
- Knowledge of financial services business models, products, and services
- Experience in banking, digital assets, or capital markets is desirable
- Strong relationship management skills, particularly the ability to build constructive and productive working relationships with clients and among Deloitte practitioners
- Experience with business transformation, regulatory remediation or change management initiatives as a result of strategic, regulatory, risk-related, technological, or operational evolutions
- Understanding of business processes, regulatory requirements, technology and governance for financial institutions
- Strong project / program management skills, particularly possessing a strong work ethic, a commitment to excellence in work product delivery, and the ability to independently manage multiple priorities and deadlines
- Strong oral and written communication skills, including the ability to lead business proposal development and sales presentations
- Ability to travel up to 50%, based on the work you do and the clients and industries/sectors you serve
- Limited immigration sponsorship may be available
Preferred Qualifications
- Advanced degree and/or certification (e.g., Quant MS, MBA, FRM, CFA, CRCM, CPA, PMP).
- Expertise in one or more Financial Risk domains:
- Credit Risk: Underwriting and portfolio credit risk across products (e.g., PD/LGD/EAD modeling support, credit policy/scorecards, risk rating systems, credit review/QA, allowance/CECL support, concentration/limit monitoring, early warning & remediation).
- Liquidity Risk: Treasury liquidity risk management and reporting (e.g., liquidity stress testing (LST), Liquidity Coverage Ratio (LCR), Net Stable Funding Ratio (NS...