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Market Risk Manager Jobs in Houston, TX (NOW HIRING)

Global Risk Manager The Global Risk Manager will lead the firm's enterprise and market risk framework across all regions--US, Canada, Europe and Asia. This role sits at the intersection of trading ...

Engage with industry participants on market trends, competitive activities, and topic-specific ... Credit Risk, Liquidity Risk, Market Risk, Capital Management/Stress Testing * Knowledge of ...

Senior Risk Manager

Houston, TX · On-site

  • Medical

  • Dental

  • Vision

  • Life

  • Retirement

Analyze economic drivers of project risk, including market conditions, labor and commodity trends ... Ability to manage challenging behaviors and maintain effective working relationships based on ...

Senior Risk Manager

Houston, TX

  • Medical

  • Dental

  • Vision

  • Life

  • Retirement

Analyze economic drivers of project risk, including market conditions, labor and commodity trends ... Ability to manage challenging behaviors and maintain effective working relationships based on ...

Support mark-to-market, fair value, forward curve construction, volatility surfaces, scenario ... traders, risk managers, finance, and executives. * High standards for accuracy, transparency ...

Support mark-to-market, fair value, forward curve construction, volatility surfaces, scenario ... traders, risk managers, finance, and executives. * High standards for accuracy, transparency ...

Risk Manager - Houston, TX

Houston, TX · On-site

$120K - $140K/yr

  • Medical

  • Dental

  • Vision

  • Life

  • Retirement

  • PTO

Monitor insurance market conditions and trends to proactively position the Company's risk management program. * Track and manage insurance-covered expenses; coordinate reimbursement or recovery from ...

This position will report directly to the Director of Risk Management. This position will play a ... Monitor and cross-verify daily Mark-to-Market (MTM) closing numbers, regional basis differentials ...

This position will report directly to the Director of Risk Management. This position will play a ... Monitor and cross-verify daily Mark-to-Market (MTM) closing numbers, regional basis differentials ...

Support and provide model development for pricing, valuation, and risk metrics using historical and forecast market data. * Manage enhancements, configurations, and user support for the PCI ETRM ...

Trading Market Risk Advisor - Expert

Spring, TX · On-site

  • Medical

  • Dental

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  • Life

  • Retirement

Monitor and manage the risks associated with ExxonMobil's Natural Gas, Power, and LNG trading ... Market Risk in the following commodity trading areas: power (preferred), natural gas, LNG ...

Portfolio Risk Manager

Houston, TX · On-site

$105K - $125K/yr

  • Medical

  • Dental

  • Vision

  • Retirement

  • PTO

Develop and deploy commercial trading and hedging strategies to maximize the profitability of Cobra's renewable assets while managing market risks. * Build tools internally to evaluate the risk ...

Support and provide model development for pricing, valuation, and risk metrics using historical and forecast market data. * Manage enhancements, configurations, and user support for the PCI ETRM ...

Showing results 21-40

Market Risk Manager information

See Houston, TX salary details

$49.2K

$106.5K

$162.3K

How much do market risk manager jobs pay per year?

As of Aug 16, 2026, the average yearly pay for market risk manager in Houston, TX is $106,533.00, according to ZipRecruiter salary data. Most workers in this role earn between $85,900.00 and $123,200.00 per year, depending on experience, location, and employer.

What does a market risk manager do?

A Market Risk Manager is responsible for identifying, assessing, and mitigating risks that arise from fluctuations in market variables such as interest rates, foreign exchange rates, and equity prices. They analyze trading portfolios, conduct stress tests, and develop risk management strategies to protect their organization from potential losses. Additionally, Market Risk Managers work closely with traders, analysts, and senior management to ensure that market risks are understood and maintained within acceptable levels.

Do market risk managers make good money?

Market risk managers typically earn competitive salaries that vary based on experience, location, and industry. According to industry reports, median salaries range from $80,000 to over $150,000 annually, with higher earnings possible for senior roles and those with professional certifications like FRM or CFA. Bonuses and benefits can also significantly increase total compensation in this field.

What are the key skills and qualifications needed to thrive as a market risk manager, and why are they important?

To thrive as a Market Risk Manager, you need strong quantitative analysis skills, a background in finance or economics, and often an advanced degree such as an MBA or CFA. Familiarity with risk management software (like Value-at-Risk models), statistical tools, and financial systems such as Bloomberg Terminal is typically required. Excellent problem-solving, communication, and decision-making skills set standout candidates apart in this highly analytical role. These capabilities are crucial for accurately assessing market risks, supporting sound investment decisions, and ensuring regulatory compliance in dynamic financial environments.

How does a market risk manager typically collaborate with other departments within a financial institution?

A Market Risk Manager works closely with various departments such as trading, treasury, and compliance to monitor and mitigate potential risks in the institution’s portfolio. They often consult with traders to understand new products and exposures, coordinate with IT teams to enhance risk management systems, and report findings to senior management and regulatory bodies. Regular communication and collaboration are essential to ensure all teams are aligned in managing risk effectively and responding promptly to market developments.

What is the difference between Market Risk Manager vs Credit Risk Analyst?

AspectMarket Risk ManagerCredit Risk Analyst
Required CredentialsBachelor's degree, often CFA or FRMBachelor's degree, often CFA or FRM
Work EnvironmentFinancial institutions, trading floors, risk departmentsBanks, lending institutions, credit departments
Employer & Industry UsageUsed in investment banks, asset managers, hedge fundsUsed in commercial banks, credit agencies, lending firms
Common Search & ComparisonOften compared for risk management roles in financeCompared 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.

What are popular job titles related to Market Risk Manager jobs in Houston, TX?

For Market Risk Manager jobs in Houston, TX, the most frequently searched job titles are:

What job categories do people searching Market Risk Manager jobs in Houston, TX look for?

The top searched job categories for Market Risk Manager jobs in Houston, TX are:

What cities near Houston, TX are hiring for Market Risk Manager jobs?

Cities near Houston, TX with the most Market Risk Manager job openings:

Infographic showing various Market Risk Manager job openings in Houston, TX as of August 2026, with employment types broken down into 1% As Needed, 88% Full Time, 10% Part Time, and 1% Contract. Highlights an 93% Physical, 3% Hybrid, and 4% Remote job distribution, with an average salary of $106,533 per year, or $51.2 per hour.

Global Risk Manager (6683)

Anew Climate LLC

Houston, TX • On-site

Full-time

Re-posted 28 days ago


Job description

Job Description: Global Risk Manager

The Global Risk Manager will lead the firm’s enterprise and market risk framework across all regions—US, Canada, Europe and Asia. This role sits at the intersection of trading, analytics, compliance, and executive leadership. The manager will design and enforce risk policies, monitor exposures in real time, and ensure the firm’s global trading activities operate within approved risk tolerances.

This is a high-visibility role with direct influence on strategic decision-making and will report directly to the Chief Financial Officer of Anew.

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Key Responsibilities

· Enterprise Risk Leadership — Own the global risk management framework, ensuring consistency across all offices and business lines.

· Market & Credit Risk Oversight — Monitor exposures across carbon, renewable fuels, power, and related environmental markets; assess counterparty creditworthiness; recommend limits and mitigations.

· Policy & Governance — Develop, implement, and maintain risk policies, procedures, and controls aligned with regulatory requirements in each jurisdiction.

· Lead Risk Committee — Lead and participate in bi-weekly Risk Committee meetings of executive team.

· Risk Analytics & Reporting — Lead the creation of dashboards, stress tests, VaR models, scenario analyses, and daily risk reporting for senior leadership.

· Commercial Partnership — Work closely with commercial team to understand strategies, evaluate new products, and assess risk implications of structured transactions.

· Regulatory Awareness — Track evolving rules across the US, Canada, EU, Singapore, Spain and other regions; ensure compliance with carbon market, low carbon fuels and energy trading regulations.

· Audit & Assurance — Support internal and external audits; ensure documentation and processes meet global standards.

· Cross-Functional Collaboration — Partner with Finance, Legal, Operations, and Technology to strengthen end-to-end risk controls.

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Qualifications

· 7+ years of experience in risk management, preferably within commodities, energy trading, carbon markets, or financial services.

· Understanding of environmental commodities (e.g., carbon credits, RECs, LCFS, EU ETS, voluntary markets).

· Experience working with global trading desks or multi-jurisdictional risk frameworks.

· Proficiency with risk modeling tools, data analytics platforms, and quantitative methods.

· Ability to communicate complex risk concepts clearly to both technical and non-technical audiences.

· Demonstrated ability to influence senior stakeholders and drive organizational change.

· Bachelor’s degree required; advanced degree or relevant certifications (FRM, CFA, ERP) preferred.

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What We Offer

· Competitive compensation with performance-based incentives

· Global mobility opportunities across our offices

· A mission-driven culture focused on climate impact and market innovation

· The chance to build and shape a world-class risk function in a rapidly expanding sector

· Collaborative, entrepreneurial environment with significant autonomy