Market Risk Manager
Jersey City, NJ · On-site
Market Risk Manager is responsible for the monitoring of daily margin calculation and managing market and liquidity risk exposures arising from trade execution and settlement activities in the ...
Jersey City, NJ · On-site
Market Risk Manager is responsible for the monitoring of daily margin calculation and managing market and liquidity risk exposures arising from trade execution and settlement activities in the ...
Jersey City, NJ · On-site
Market Risk Manager is responsible for the monitoring of daily margin calculation and managing market and liquidity risk exposures arising from trade execution and settlement activities in the ...
Jersey City, NJ · Hybrid
Market Risk Manager is responsible for the monitoring of daily margin calculation and managing market and liquidity risk exposures arising from trade execution and settlement activities in the ...
Jersey City, NJ · Hybrid
Market Risk Manager is responsible for the monitoring of daily margin calculation and managing market and liquidity risk exposures arising from trade execution and settlement activities in the ...
Jersey City, NJ · On-site
Market Risk Manager is responsible for the monitoring of daily margin calculation and managing market and liquidity risk exposures arising from trade execution and settlement activities in the ...
Jersey City, NJ · On-site
Market Risk Manager is responsible for the monitoring of daily margin calculation and managing market and liquidity risk exposures arising from trade execution and settlement activities in the ...
Jersey City, NJ · Hybrid
Manage FR&G to maintain a deep and broad product knowledge and risk framework to effectively measure and manage market, liquidity and credit risks. Market Risk for Fixed Income Clearing Corporation ...
Jersey City, NJ · Hybrid
Manage FR&G to maintain a deep and broad product knowledge and risk framework to effectively measure and manage market, liquidity and credit risks. Market Risk for Fixed Income Clearing Corporation ...
Jersey City, NJ · On-site
Manage FR&G to maintain a deep and broad product knowledge and risk framework to effectively measure and manage market, liquidity and credit risks. Market Risk for Fixed Income Clearing Corporation ...
Jersey City, NJ · On-site
Manage FR&G to maintain a deep and broad product knowledge and risk framework to effectively measure and manage market, liquidity and credit risks. Market Risk for Fixed Income Clearing Corporation ...
Jersey City, NJ · On-site
$80K - $153K/yr
The Team The candidate will join a nuanced, closely-knit Market Risk Team working in Jersey City. The Risk Management Team evaluates and interprets moderately sophisticated financial and statistical ...
Jersey City, NJ · On-site
$80K - $153K/yr
The Team The candidate will join a nuanced, closely-knit Market Risk Team working in Jersey City. The Risk Management Team evaluates and interprets moderately sophisticated financial and statistical ...
Jersey City, NJ · On-site
$80K - $153K/yr
The Team The candidate will join a nuanced, closely-knit Market Risk Team working in Jersey City. The Risk Management Team evaluates and interprets moderately sophisticated financial and statistical ...
Jersey City, NJ · On-site
$80K - $153K/yr
The Team The candidate will join a nuanced, closely-knit Market Risk Team working in Jersey City. The Risk Management Team evaluates and interprets moderately sophisticated financial and statistical ...
The Market Risk function, within Enterprise Risk Management, is responsible for overseeing market, liquidity, portfolio, and asset-liability management (ALM) risks across the organization ...
The Market Risk function, within Enterprise Risk Management, is responsible for overseeing market, liquidity, portfolio, and asset-liability management (ALM) risks across the organization ...
FR&G collaborates closely with Quantitative Risk Management and the Counterparty Credit Risk teams ... Market Risk for Fixed Income Clearing Corporation (FICC) and National Securities Clearing ...
FR&G collaborates closely with Quantitative Risk Management and the Counterparty Credit Risk teams ... Market Risk for Fixed Income Clearing Corporation (FICC) and National Securities Clearing ...
FR&G collaborates closely with Quantitative Risk Management and the Counterparty Credit Risk teams ... Market Risk for Fixed Income Clearing Corporation (FICC) and National Securities Clearing ...
FR&G collaborates closely with Quantitative Risk Management and the Counterparty Credit Risk teams ... Market Risk for Fixed Income Clearing Corporation (FICC) and National Securities Clearing ...
Princeton, NJ · On-site
The Senior Director, Market Risk is responsible for leading a market risk organization that ... Partner with portfolio managers, traders, research analysts, and other commercial stakeholders to ...
Princeton, NJ · On-site
The Senior Director, Market Risk is responsible for leading a market risk organization that ... Partner with portfolio managers, traders, research analysts, and other commercial stakeholders to ...
Working at the intersection of financial markets, quantitative analytics, and regulatory risk management, you will partner with senior stakeholders across Market Risk, Trading, Treasury, Counterparty ...
New
Working at the intersection of financial markets, quantitative analytics, and regulatory risk management, you will partner with senior stakeholders across Market Risk, Trading, Treasury, Counterparty ...
New
Jersey City, NJ · Hybrid
Market Risk is a key driver of new business initiatives, with additional responsibilities ... Educate clients on risk management tools and initiatives. * Aligns risk and control processes into ...
Jersey City, NJ · Hybrid
Market Risk is a key driver of new business initiatives, with additional responsibilities ... Educate clients on risk management tools and initiatives. * Aligns risk and control processes into ...
We work closely with Risk Managers, Market Risk Analytics teams, senior management, and regulatory stakeholders globally. The Market Risk Technology team continually evolves its suite of risk ...
We work closely with Risk Managers, Market Risk Analytics teams, senior management, and regulatory stakeholders globally. The Market Risk Technology team continually evolves its suite of risk ...
Folsom, NJ · On-site
$97K - $156K/yr
Position Summary The Credit & Market Risk Analyst is responsible for analyzing and managing credit and market risk exposures, with primary focus on credit risk and a secondary focus on market risk.
Folsom, NJ · On-site
$97K - $156K/yr
Position Summary The Credit & Market Risk Analyst is responsible for analyzing and managing credit and market risk exposures, with primary focus on credit risk and a secondary focus on market risk.
Jersey City, NJ · On-site
FR&G collaborates closely with Quantitative Risk Management and the Counterparty Credit Risk teams ... Market Risk for Fixed Income Clearing Corporation (FICC) and National Securities Clearing ...
Jersey City, NJ · On-site
FR&G collaborates closely with Quantitative Risk Management and the Counterparty Credit Risk teams ... Market Risk for Fixed Income Clearing Corporation (FICC) and National Securities Clearing ...
Folsom, NJ · On-site
$97K - $156K/yr
Position Summary The Credit & Market Risk Analyst is responsible for analyzing and managing credit and market risk exposures, with primary focus on credit risk and a secondary focus on market risk.
Folsom, NJ · On-site
$97K - $156K/yr
Position Summary The Credit & Market Risk Analyst is responsible for analyzing and managing credit and market risk exposures, with primary focus on credit risk and a secondary focus on market risk.
FR&G collaborates closely with Quantitative Risk Management and the Counterparty Credit Risk teams ... Market Risk for Fixed Income Clearing Corporation (FICC) and National Securities Clearing ...
FR&G collaborates closely with Quantitative Risk Management and the Counterparty Credit Risk teams ... Market Risk for Fixed Income Clearing Corporation (FICC) and National Securities Clearing ...
Morristown, NJ · On-site
Engage with industry participants on market trends, competitive activities, and topic-specific ... Credit Risk, Liquidity Risk, Market Risk, Capital Management/Stress Testing * Knowledge of ...
Morristown, NJ · On-site
Engage with industry participants on market trends, competitive activities, and topic-specific ... Credit Risk, Liquidity Risk, Market Risk, Capital Management/Stress Testing * Knowledge of ...
Grow your career as a Quantitative Developer ( Market Risk) with an innovative global bank in ... Architect, build, and manage a massive-scale, distributed compute grid on public cloud platforms ...
Grow your career as a Quantitative Developer ( Market Risk) with an innovative global bank in ... Architect, build, and manage a massive-scale, distributed compute grid on public cloud platforms ...
$52.3K - $63.2K
4% of jobs
$63.2K - $74.2K
6% of jobs
$74.2K - $85.1K
11% of jobs
$89.2K is the 25th percentile. Wages below this are outliers.
$85.1K - $96K
11% of jobs
The median wage is $104.7K / yr.
$96K - $107K
23% of jobs
$107K - $117.9K
13% of jobs
$125.1K is the 75th percentile. Wages above this are outliers.
$117.9K - $128.8K
12% of jobs
$128.8K - $139.8K
8% of jobs
$139.8K - $150.7K
6% of jobs
$150.7K - $161.7K
4% of jobs
$161.7K - $172.6K
2% of jobs
$52.3K
$113.3K
$172.6K
| Aspect | Market Risk Manager | Credit Risk Analyst |
|---|---|---|
| Required Credentials | Bachelor's degree, often CFA or FRM | Bachelor's degree, often CFA or FRM |
| Work Environment | Financial institutions, trading floors, risk departments | Banks, lending institutions, credit departments |
| Employer & Industry Usage | Used in investment banks, asset managers, hedge funds | Used in commercial banks, credit agencies, lending firms |
| Common Search & Comparison | Often compared for risk management roles in finance | Compared for credit analysis roles |
The Market Risk Manager focuses on identifying and managing risks related to market fluctuations, such as interest rates and stock prices. In contrast, the Credit Risk Analyst assesses the creditworthiness of borrowers to mitigate default risk. Both roles require similar credentials and are vital in financial institutions, but they specialize in different risk areas.

Full-time
Medical, Life, Retirement, PTO
Re-posted 4 days ago