... market risk analytics are performed and managed during the conduit process.
... market risk analytics are performed and managed during the conduit process.
... Risk Management, Capital Markets, Finance, and Technology organizations. You will be working on some of the country's largest mortgage portfolios. Qualifications Required: * Lead analysis of market ...
... Risk Management, Capital Markets, Finance, and Technology organizations. You will be working on some of the country's largest mortgage portfolios. Qualifications Required: * Lead analysis of market ...
Market risk oversight across WBG institutions, including Asset Liability Management (ALM), and Liquid Asset Portfolio (LAP) risk oversight Commercial counterparty credit risk oversight, including ...
New
Market risk oversight across WBG institutions, including Asset Liability Management (ALM), and Liquid Asset Portfolio (LAP) risk oversight Commercial counterparty credit risk oversight, including ...
New
Market risk oversight across WBG institutions, including Asset Liability Management (ALM), and Liquid Asset Portfolio (LAP) risk oversight Commercial counterparty credit risk oversight, including ...
New
Market risk oversight across WBG institutions, including Asset Liability Management (ALM), and Liquid Asset Portfolio (LAP) risk oversight Commercial counterparty credit risk oversight, including ...
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.
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.
Financial Risk Manager
Mclean, VA · 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 ...
Financial Risk Manager
Mclean, VA · 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 ...
The Risk Manager will identify, assess, and mitigate potential risks that could impact the company ... Extensive knowledge of the insurance market and strong organizational, time management, and ...
The Risk Manager will identify, assess, and mitigate potential risks that could impact the company ... Extensive knowledge of the insurance market and strong organizational, time management, and ...
The Risk Manager will identify, assess, and mitigate potential risks that could impact the company ... Extensive knowledge of the insurance market and strong organizational, time management, and ...
The Risk Manager will identify, assess, and mitigate potential risks that could impact the company ... Extensive knowledge of the insurance market and strong organizational, time management, and ...
Risk Manager
Alexandria, VA · On-site
The Risk Manager will identify, assess, and mitigate potential risks that could impact the company ... Extensive knowledge of the insurance market and strong organizational, time management, and ...
New
Risk Manager
Alexandria, VA · On-site
The Risk Manager will identify, assess, and mitigate potential risks that could impact the company ... Extensive knowledge of the insurance market and strong organizational, time management, and ...
New
This includes regulatory stress testing (CCAR, ILST and other resilience analysis), regulatory requirements (165(d), Basel), overall liquidity, market, and capital risk management frameworks, and ...
This includes regulatory stress testing (CCAR, ILST and other resilience analysis), regulatory requirements (165(d), Basel), overall liquidity, market, and capital risk management frameworks, and ...
Seller Credit Risk Manager
Mclean, VA · On-site
$128K - $192K/yr
Quickly adapt to evolving market conditions and emerging risks while maintaining sound risk management principles. We consider all applicants for all positions without regard to gender, race, color ...
Seller Credit Risk Manager
Mclean, VA · On-site
$128K - $192K/yr
Quickly adapt to evolving market conditions and emerging risks while maintaining sound risk management principles. We consider all applicants for all positions without regard to gender, race, color ...
This includes regulatory stress testing (CCAR, ILST and other resilience analysis), regulatory requirements (165(d), Basel), overall liquidity, market, and capital risk management frameworks, and ...
This includes regulatory stress testing (CCAR, ILST and other resilience analysis), regulatory requirements (165(d), Basel), overall liquidity, market, and capital risk management frameworks, and ...
Senior Credit Risk Manager
Washington, DC · On-site
$100K - $140K/yr
Across the Monex Group, we support thousands of clients globally with tailored FX risk management strategies, international payments, and market expertise recognized by leading financial media ...
Senior Credit Risk Manager
Washington, DC · On-site
$100K - $140K/yr
Across the Monex Group, we support thousands of clients globally with tailored FX risk management strategies, international payments, and market expertise recognized by leading financial media ...
Freddie Mac's Finance division is seeking a Financial Performance & Market Risk Analytics ... The team supports Counterparty Credit Risk Management (CCRM) function by reporting and analyzing ...
Freddie Mac's Finance division is seeking a Financial Performance & Market Risk Analytics ... The team supports Counterparty Credit Risk Management (CCRM) function by reporting and analyzing ...
Freddie Mac's Finance division is seeking a Financial Performance & Market Risk Analytics ... The team supports Counterparty Credit Risk Management (CCRM) function by reporting and analyzing ...
Freddie Mac's Finance division is seeking a Financial Performance & Market Risk Analytics ... The team supports Counterparty Credit Risk Management (CCRM) function by reporting and analyzing ...
Risk Analyst
Washington, DC · On-site +1
$180K - $272K/yr
Conduct risk surveillance activities to evaluate market and other position-related risk at CCPs and ... Plan, coordinate, and participate in the regular evaluation of risk management systems and ...
Risk Analyst
Washington, DC · On-site +1
$180K - $272K/yr
Conduct risk surveillance activities to evaluate market and other position-related risk at CCPs and ... Plan, coordinate, and participate in the regular evaluation of risk management systems and ...
Risk Officer
Washington, DC · On-site
The VPU assists management with identifying and managing Group-wide cross-cutting risks, enhancing ... risk, market risk and non-financial risk, supported by robust analytical data infrastructure ...
Risk Officer
Washington, DC · On-site
The VPU assists management with identifying and managing Group-wide cross-cutting risks, enhancing ... risk, market risk and non-financial risk, supported by robust analytical data infrastructure ...
Work with internal departments, including Market Risk, Product Management, Relationship * Management, Legal, and Compliance, to maintain transparency when assessing potential risk exposures within ...
Work with internal departments, including Market Risk, Product Management, Relationship * Management, Legal, and Compliance, to maintain transparency when assessing potential risk exposures within ...
This includes identifying and managing market risks, specifically interest rate, credit, FX, and ... Daily and month-end risk monitoring and reporting for a collection of programs. This will include ...
This includes identifying and managing market risks, specifically interest rate, credit, FX, and ... Daily and month-end risk monitoring and reporting for a collection of programs. This will include ...
Work with internal departments, including Market Risk, Product Management, Relationship * Management, Legal, and Compliance, to maintain transparency when assessing potential risk exposures within ...
Work with internal departments, including Market Risk, Product Management, Relationship * Management, Legal, and Compliance, to maintain transparency when assessing potential risk exposures within ...
Market Risk Manager information
See Washington salary details
$58.3K - $70.5K
4% of jobs
$70.5K - $82.7K
6% of jobs
$82.7K - $94.9K
11% of jobs
$99.5K is the 25th percentile. Wages below this are outliers.
$94.9K - $107.1K
11% of jobs
The median wage is $116.8K / yr.
$107.1K - $119.3K
23% of jobs
$119.3K - $131.5K
13% of jobs
$139.6K is the 75th percentile. Wages above this are outliers.
$131.5K - $143.7K
12% of jobs
$143.7K - $155.9K
8% of jobs
$155.9K - $168.1K
6% of jobs
$168.1K - $180.3K
4% of jobs
$180.3K - $192.5K
2% of jobs
$58.3K
$126.3K
$192.5K
How much do market risk manager jobs pay per year?
What does a Market Risk Manager do?
What are the key skills and qualifications needed to thrive as a Market Risk Manager, and why are they important?
How much does a risk manager get paid?
What is the role of a market risk manager?
What are the 4 types of market risk?
Is market risk management a good career?
How does a Market Risk Manager typically collaborate with other departments within a financial institution?
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.
Full-time
Posted 24 days ago
Job description
In this role, you will be responsible for portfolio analytics for large mortgage securities and whole loan portfolios. You will be assisting Capital Markets Risk Management organizations to analyze the performance of their portfolio risk analytic systems, and you will be assisting in identifying and evaluating improvements and enhancements to risk management systems.
You will bring your experience in risk management of mortgage portfolios to ensure that mortgage assets are appropriately modeled, and that risk metrics are accurate and well understood by Risk Management, Capital Markets, Finance, and Technology organizations.
You will be working on some of the country's largest mortgage portfolios.
Required:
- Lead analysis of market risk for a large MBS portfolio
- Understand models that drive market risk (primarily, prepayment and interest rate)
- Execute market risk models, perform exhaustive, detailed analysis of input data and outputs
- Expert knowledge of the primary input variables for mortgage loans
- Expert knowledge of how those input variables drive changes in duration and convexity
- Strong written and verbal communication skills to be able to communicate results of analysis
Nice to have:
- Exposure to agency RMBS trading, RMBS valuation
- Previous support of a mortgage desk
- Knowledge of the whole loan conduit business - how mortgage loans are originated by the large banks and sold to the GSEs - how market risk analytics are performed and managed during the conduit process.
About Agile Partners
Sourced by ZipRecruiter
Industry
It services
Company size
11 - 50 Employees
Headquarters location
Auburn Hills, MI, US
Year founded
2006