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Market Risk Manager Jobs in Waltham, MA (NOW HIRING)

Senior Capital Market System Analyst

Boston, MA · On-site

$95K - $126K/yr

Risk Management in Liquidity Risk, Credit Risk, Market Risk, Foreign Investment Risk * Technical experience includes: o extensive Java, J2EE n-tier application experience * Hands-on experience with ...

Growth Leader, Risk Services

Boston, MA · On-site

$156K - $195K/yr

We are looking for a data-driven professional with competence in storytelling and go-to-market, who ... Manage the development of campaign assets such as articles, whitepapers, videos, and website lead ...

Specialist OSHA and ESG

Quincy, MA · On-site

$86.32 - $129.48/hr

The role will partner with Workers' Compensation, Safety, and Risk Management teams to ensure ... and market conditions. Final compensation decisions will be made in accordance with company ...

New

Financial Risk Senior Consultant

Boston, MA · On-site

$126K/yr

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 ...

Collaborate with Model Risk Management, Model Validation, and Market Risk for periodic model reviews * Monitor model performance and recommend enhancements including overlays, recalibration, or ...

Collaborate with Model Risk Management, Model Validation, and Market Risk for periodic model reviews * Monitor model performance and recommend enhancements including overlays, recalibration, or ...

Showing results 41-60

Market Risk Manager information

See Waltham, MA salary details

$55.6K

$120.4K

$183.4K

How much do market risk manager jobs pay per year?

As of Aug 21, 2026, the average yearly pay for market risk manager in Waltham, MA is $120,352.00, according to ZipRecruiter salary data. Most workers in this role earn between $97,100.00 and $139,200.00 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.

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 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.

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.

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 those with advanced certifications like FRM or CFA and extensive experience. Bonuses and benefits can also significantly increase total compensation in this role.

What job categories do people searching Market Risk Manager jobs in Waltham, MA look for?

The top searched job categories for Market Risk Manager jobs in Waltham, MA are:

What cities near Waltham, MA are hiring for Market Risk Manager jobs?

Cities near Waltham, MA with the most Market Risk Manager job openings:

Infographic showing various Market Risk Manager job openings in Waltham, MA as of August 2026, with employment types broken down into 88% Full Time, 11% Part Time, and 1% Contract. Highlights an 84% Physical, 3% Hybrid, and 13% Remote job distribution, with an average salary of $120,352 per year, or $57.9 per hour.

Senior Capital Market System Analyst

Sonsoft Inc

Boston, MA • On-site

$95K - $126K/yr

Full-time

Re-posted 4 days ago


Job description

Company Description

Sonsoft , Inc. is a USA based corporation duly organized under the laws of the Commonwealth of Georgia. Sonsoft Inc. is growing at a steady pace specializing in the fields of Software Development, Software Consultancy and Information Technology Enabled Services.

Job Description
  • 8+ years of experience in developing/supporting financial applications. REQUIRED
  • 8+years Finance, Investments, Portfolio Management and/or Capital Markets Exposure.
  • Understanding of portfolio management, trading, compliance, analytics.
  • Experience translating functional business requirements to technical specifications (preferably in the finance, accounting, derivative or portfolio management sectors).
  • Agile knowledge, PL/SQL, Query writing knowledge.
  • CFA/FRM/MBA/Math/Physics or CFA/FRM level-1 pass would be preferred.
  • BA/BS in Computer Science, MIS, Mathematics, Finance or related discipline.
  • Candidate with experience in Production Support activities for a Portfolio Construction tool.
  • Candidate must be able to work as part of a large IT Team with multiple stakeholders and should have demonstrated good problem solving skills.
  • Ability to work in a high stress environment with front line portfolio managers and should be able to set provide meaningful and quick turnaround to user queries/issues.
  • Experience in Financial Risk Management is preferred. Risk Management in Liquidity Risk, Credit Risk, Market Risk, Foreign Investment Risk
  • Technical experience includes: o extensive Java, J2EE n-tier application experience
  • Hands-on experience with web services.
  • Resource must be hands on and ngap is in last 6 months
  • Spring MVC, Bootstrap, JavaScript libraries (JQuery, Angular JS, Node JS) alshighly desirable
  • Strong SQL skills with considerable experience in Oracle or SQL Server Knowledge of XML / XSL
  • Work experience building Service Oriented Architecture using RestFul services, CXF, MicrServices
  • Experience with Tomcat, JBoss, Weblogic or Websphere Strong with Odesign and development
  • A strong demonstrable record of customer service.
  • The consultant will need tunderstand customer needs and build effective relationships.
  • The consultant must be able tconvey plans, issues and concerns tclients and team members in clear, logical and concise manner.
  • Must be customer driven, have the ability twork within a team environment, and be focused on providing a high quality of service tthe customer.
  • Strong and demonstrable problem solving/analytical skills.
Qualifications
  • 8+ years of experience in developing/supporting financial applications. REQUIRED
  • 8+years Finance, Investments, Portfolio Management and/or Capital Markets Exposure.
Additional Information

** U.S. citizens and those authorized to work in the U.S. are encouraged to apply. We are unable to sponsor at this time.

Note:-

  1. This is a Fulltime job for you
  2. Only US Citizen, Green Card Holder, TN Visa, GC-EAD, H4-EAD & L2-EAD can apply.
  3. No OPT-EAD & H1B Consultants please.
  4. Please mention your Visa Status in your email or resume.

Sonsoft logo

About Sonsoft

Sourced by ZipRecruiter

Sonsoft , Inc. is a USA based corporation duly organized under the laws of the Commonwealth of Georgia. Sonsoft Inc. is growing at a steady pace specializing in the fields of Software Development, Software Consultancy and Information Technology Enabled Services.

Industry

It services

Company size

51 - 200 Employees

Headquarters location

Alpharetta, GA, US

Year founded

2007