Huntington is seeking a Market Risk Specialist Sr to join our corporate Capital Markets Risk Management team. This individual will participate in all aspects of market and counterparty risk ...
Huntington is seeking a Market Risk Specialist Sr to join our corporate Capital Markets Risk Management team. This individual will participate in all aspects of market and counterparty risk ...
Market Risk Analytics Manager
Columbus, OH · On-site +1
Huntington is seeking a Market Risk Specialist Sr to join our corporate Capital Markets Risk Management team. This individual will participate in all aspects of market and counterparty risk ...
Market Risk Analytics Manager
Columbus, OH · On-site +1
Huntington is seeking a Market Risk Specialist Sr to join our corporate Capital Markets Risk Management team. This individual will participate in all aspects of market and counterparty risk ...
Market Risk Analytics Manager
Columbus, OH · On-site +1
Huntington is seeking a Market Risk Specialist Sr to join our corporate Capital Markets Risk Management team. This individual will participate in all aspects of market and counterparty risk ...
Market Risk Analytics Manager
Columbus, OH · On-site +1
Huntington is seeking a Market Risk Specialist Sr to join our corporate Capital Markets Risk Management team. This individual will participate in all aspects of market and counterparty risk ...
Market Risk Analytics Manager
Columbus, OH · On-site +1
Huntington is seeking a Market Risk Specialist Sr to join our corporate Capital Markets Risk Management team. This individual will participate in all aspects of market and counterparty risk ...
Market Risk Analytics Manager
Columbus, OH · On-site +1
Huntington is seeking a Market Risk Specialist Sr to join our corporate Capital Markets Risk Management team. This individual will participate in all aspects of market and counterparty risk ...
Asset and Liability Management Risk Manager - Financial Risk Management
$159.75K - $197.33K/yr
The Market Risk Team within Financial Risk Management (FRM) oversees risk taking activities of Treasury focusing specifically on Interest Rate Risk. The team facilitates effective use of risk ...
Asset and Liability Management Risk Manager - Financial Risk Management
$159.75K - $197.33K/yr
The Market Risk Team within Financial Risk Management (FRM) oversees risk taking activities of Treasury focusing specifically on Interest Rate Risk. The team facilitates effective use of risk ...
Market Risk Oversight Analyst
$74.55K - $93.19K/yr
Key Responsibilities Market Risk Oversight * Execute risk governance and compliance activities ... Prepare energy commodity confirmations for management review. * Investigate and resolve ...
New
Market Risk Oversight Analyst
$74.55K - $93.19K/yr
Key Responsibilities Market Risk Oversight * Execute risk governance and compliance activities ... Prepare energy commodity confirmations for management review. * Investigate and resolve ...
New
... Asset Investment Risk Manager - Vice President in Wealth Management (WM) Investment Risk ... Evaluate market conditions, scenario outcomes, and product exposures to anticipate potential risks ...
... Asset Investment Risk Manager - Vice President in Wealth Management (WM) Investment Risk ... Evaluate market conditions, scenario outcomes, and product exposures to anticipate potential risks ...
... Asset Investment Risk Manager - Vice President in Wealth Management (WM) Investment Risk ... Evaluate market conditions, scenario outcomes, and product exposures to anticipate potential risks ...
... Asset Investment Risk Manager - Vice President in Wealth Management (WM) Investment Risk ... Evaluate market conditions, scenario outcomes, and product exposures to anticipate potential risks ...
... Asset Investment Risk Manager - Vice President in Wealth Management (WM) Investment Risk ... Evaluate market conditions, scenario outcomes, and product exposures to anticipate potential risks ...
... Asset Investment Risk Manager - Vice President in Wealth Management (WM) Investment Risk ... Evaluate market conditions, scenario outcomes, and product exposures to anticipate potential risks ...
Risk Manager - Insurance
$110K - $145K/yr
Risk Manager - Insurance Fully Remote: applicants in Eastern or Central Time Zone Supporting ... Market programs to carriers, negotiating terms, coverage, and pricing to achieve optimal results.
New
Risk Manager - Insurance
$110K - $145K/yr
Risk Manager - Insurance Fully Remote: applicants in Eastern or Central Time Zone Supporting ... Market programs to carriers, negotiating terms, coverage, and pricing to achieve optimal results.
New
The successful candidate will work closely with Market Risk Management, Model Validation, Treasury, Asset & Liability Management (ALM), Finance, and the Capital Markets Group to provide independent ...
The successful candidate will work closely with Market Risk Management, Model Validation, Treasury, Asset & Liability Management (ALM), Finance, and the Capital Markets Group to provide independent ...
SAP Risk Reporting Specialist
Maumee, OH · Remote
$92.90K/yr
Support and integrate SAP Treasury and Risk Management (market risk, credit risk, hedge accounting) and/or SAP GRC Risk Management * Establish data governance, definitions, lineage, and audit-ready ...
SAP Risk Reporting Specialist
Maumee, OH · Remote
$92.90K/yr
Support and integrate SAP Treasury and Risk Management (market risk, credit risk, hedge accounting) and/or SAP GRC Risk Management * Establish data governance, definitions, lineage, and audit-ready ...
The successful candidate will work closely with Market Risk Management, Model Validation, Treasury, Asset & Liability Management (ALM), Finance, and the Capital Markets Group to provide independent ...
The successful candidate will work closely with Market Risk Management, Model Validation, Treasury, Asset & Liability Management (ALM), Finance, and the Capital Markets Group to provide independent ...
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 ...
Risk Placement Lead
Athens, OH · On-site
Risk Placement Lead Location: Athens, OH / Wyomissing, PA / Hanover, PA / Employment Type ... Market Insight & Negotiation - Technical Underwriting Expertise - Relationship Management ...
Risk Placement Lead
Athens, OH · On-site
Risk Placement Lead Location: Athens, OH / Wyomissing, PA / Hanover, PA / Employment Type ... Market Insight & Negotiation - Technical Underwriting Expertise - Relationship Management ...
Risk Placement Lead
Athens, OH · On-site
Risk Placement Lead Location: Athens, OH / Wyomissing, PA / Hanover, PA / Employment Type ... Market Insight & Negotiation - Technical Underwriting Expertise - Relationship Management ...
Quick apply
Risk Placement Lead
Athens, OH · On-site
Risk Placement Lead Location: Athens, OH / Wyomissing, PA / Hanover, PA / Employment Type ... Market Insight & Negotiation - Technical Underwriting Expertise - Relationship Management ...
Risk Placement Lead
Athens, OH · On-site
Risk Placement Lead Location: Athens, OH / Wyomissing, PA / Hanover, PA / Employment Type ... Market Insight & Negotiation - Technical Underwriting Expertise - Relationship Management ...
Quick apply
Risk Placement Lead
Athens, OH · On-site
Risk Placement Lead Location: Athens, OH / Wyomissing, PA / Hanover, PA / Employment Type ... Market Insight & Negotiation - Technical Underwriting Expertise - Relationship Management ...
Risk Placement Lead
Athens, OH · On-site
Risk Placement Lead Location: Athens, OH / Wyomissing, PA / Hanover, PA / Employment Type ... Market Insight & Negotiation - Technical Underwriting Expertise - Relationship Management ...
Quick apply
Risk Placement Lead
Athens, OH · On-site
Risk Placement Lead Location: Athens, OH / Wyomissing, PA / Hanover, PA / Employment Type ... Market Insight & Negotiation - Technical Underwriting Expertise - Relationship Management ...
Financial Risk Analyst II
Cincinnati, OH · On-site
... management. Participates in theuse and maintenance of the earnings simulation model and other recurring andnon-recurring projects, which requires utilizing other market risk models andsubsidiary ...
Financial Risk Analyst II
Cincinnati, OH · On-site
... management. Participates in theuse and maintenance of the earnings simulation model and other recurring andnon-recurring projects, which requires utilizing other market risk models andsubsidiary ...
The Project Risk Manager is accountable for comprehensive and cross-functional project risk ... market conditions. In addition to base pay, Nexus Engineering Group offers a comprehensive ...
Quick apply
The Project Risk Manager is accountable for comprehensive and cross-functional project risk ... market conditions. In addition to base pay, Nexus Engineering Group offers a comprehensive ...
Market Risk Manager information
See Ohio salary details
$49K - $59.2K
4% of jobs
$59.2K - $69.4K
6% of jobs
$69.4K - $79.7K
11% of jobs
$83.5K is the 25th percentile. Wages below this are outliers.
$79.7K - $89.9K
11% of jobs
The median wage is $98.1K / yr.
$89.9K - $100.2K
23% of jobs
$100.2K - $110.4K
13% of jobs
$117.2K is the 75th percentile. Wages above this are outliers.
$110.4K - $120.7K
12% of jobs
$120.7K - $130.9K
8% of jobs
$130.9K - $141.1K
6% of jobs
$141.1K - $151.4K
4% of jobs
$151.4K - $161.6K
2% of jobs
$49K
$106.1K
$161.6K
How much do market risk manager jobs pay per year?
What are the key skills and qualifications needed to thrive as a Market Risk Manager, and why are they important?
How does a Market Risk Manager typically collaborate with other departments within a financial institution?
What does a Market Risk Manager do?
What is the difference between Market Risk Manager vs Credit Risk Analyst?
| 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.
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Full-time
Posted 4 days ago
Huntington National Bank rating
8.1
Based on 162 frontline employees who took The Breakroom Quiz
45th of 141 rated banks
Job description
You must be located within the Huntington Bank footprint.
Huntington is seeking a Market Risk Specialist Sr to join our corporate Capital Markets Risk Management team. This individual will participate in all aspects of market and counterparty risk measurement and reporting, including internal and regulatory risk reporting, stress testing, and model ongoing monitoring in a team-oriented working environment.
Job Responsibilities:
- Production and analysis of daily market and counterparty risk reports, including risk factor and trend analysis, position management, internal and regulatory risk reporting, backtesting and stress testing
- Effective mastery of derivative pricing and risk engines to manage and debug systems and communicate risk results to stakeholders
- Implementation, execution and documentation of ongoing monitoring framework and results in alignment with supervisory and model risk management expectations
- Ongoing operation of our risk analytical system, including data preparation, change management, research and analysis in order to adequately measure market and counterparty risks in FX, commodity, interest rate derivative, fixed income, securitized product, and term loan portfolios
You must be located within the Huntington Bank footprint.
Basic Qualifications:
- Master's Degree
- 5+ years of experience in risk analytics or quantitative modeling
Preferred Qualifications:
- Direct market or counterparty risk modeling experience preferred
- Experience with securitized products or corporate loans preferred
- CFA or FRM designation
- Knowledge of US regulatory market and counterparty risk management frameworks
- Experience in a regulated financial institution
- Ability to communicate effectively
Exempt Status: (Yes = not eligible for overtime pay) (No = eligible for overtime pay)
Yes
Workplace Type:
Office
Our Approach to Office Workplace Type
Certain positions outside our branch network may be eligible for a flexible work arrangement. We're combining the best of both worlds: in-office and work from home. Our approach enables our teams to deepen connections, maintain a strong community, and do their best work. Remote roles will also have the opportunity to come together in our offices for moments that matter. Specific work arrangements will be provided by the hiring team.
Huntington is an Equal Opportunity Employer.
Tobacco-Free Hiring Practice: Visit Huntington's Career Web Site for more details.
Note to Agency Recruiters: Huntington Bank will not pay a fee for any placement resulting from the receipt of an unsolicited resume. All unsolicited resumes sent to any Huntington Bank colleagues, directly or indirectly, will be considered Huntington Bank property. Recruiting agencies must have a valid, written and fully executed Master Service Agreement and Statement of Work for consideration.
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About Huntington Bank
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Company size
10,000+ Employees
Headquarters location
Columbus, OH, US
Year founded
1866