Activities are centered on Risk management and analysis, transparency and escalation of Risk ... You will work closely with colleagues around the globe on tasks and projects that contribute ...
Activities are centered on Risk management and analysis, transparency and escalation of Risk ... You will work closely with colleagues around the globe on tasks and projects that contribute ...
Manager, U.S. Market Risk
Manhattan, NY · On-site
Presenting materials to global TFRM for project work that educates the global team. • Prepare a ... Market Risk Management Policy Committee. • Participate in, and assist with, internal audits ...
Manager, U.S. Market Risk
Manhattan, NY · On-site
Presenting materials to global TFRM for project work that educates the global team. • Prepare a ... Market Risk Management Policy Committee. • Participate in, and assist with, internal audits ...
Senior Market Risk Manager
Manhattan, NY · On-site
The Senior Market Risk Manager will be responsible for the independent measurement, monitoring, analysis, and oversight of market risk across equity derivatives trading activities. This individual ...
Senior Market Risk Manager
Manhattan, NY · On-site
The Senior Market Risk Manager will be responsible for the independent measurement, monitoring, analysis, and oversight of market risk across equity derivatives trading activities. This individual ...
Senior Market Risk Manager
New York, NY · On-site
The Senior Market Risk Manager will be responsible for the independent measurement, monitoring, analysis, and oversight of market risk across equity derivatives trading activities. This individual ...
Senior Market Risk Manager
New York, NY · On-site
The Senior Market Risk Manager will be responsible for the independent measurement, monitoring, analysis, and oversight of market risk across equity derivatives trading activities. This individual ...
NY · On-site
They should be comfortable working with traders, risk managers, quants, model teams, developers ... Support market risk processes including **sensitivities, stress testing, scenario analysis, VaR ...
NY · On-site
They should be comfortable working with traders, risk managers, quants, model teams, developers ... Support market risk processes including **sensitivities, stress testing, scenario analysis, VaR ...
Senior Market Risk Manager
New York, NY · On-site
The Senior Market Risk Manager will be responsible for the independent measurement, monitoring, analysis, and oversight of market risk across equity derivatives trading activities. This individual ...
Senior Market Risk Manager
New York, NY · On-site
The Senior Market Risk Manager will be responsible for the independent measurement, monitoring, analysis, and oversight of market risk across equity derivatives trading activities. This individual ...
Director - Market Risk, Spread Products
New York, NY · On-site
$160K - $235K/yr
Leading internal projects to ensure market risk systems improvements in support of existing and new products. Qualifications * 10+ years of experience in market risk management required. * Direct ...
Director - Market Risk, Spread Products
New York, NY · On-site
$160K - $235K/yr
Leading internal projects to ensure market risk systems improvements in support of existing and new products. Qualifications * 10+ years of experience in market risk management required. * Direct ...
Director Market Risk
Juno Beach, FL · On-site
Our Market Risk Management team brings together several disciplines that are often managed separately at other organizations, including market and commodity risk management, valuation and controls ...
Director Market Risk
Juno Beach, FL · On-site
Our Market Risk Management team brings together several disciplines that are often managed separately at other organizations, including market and commodity risk management, valuation and controls ...
Market Risk Analyst (Broker-Dealer)
$120K - $185K/yr
... Managing Director of Market Risk. Responsibilities will include, but are not limited to, conducting quantitative risk analysis, Value at Risk (VaR), stress testing, and other ad-hoc projects as ...
Market Risk Analyst (Broker-Dealer)
$120K - $185K/yr
... Managing Director of Market Risk. Responsibilities will include, but are not limited to, conducting quantitative risk analysis, Value at Risk (VaR), stress testing, and other ad-hoc projects as ...
Director Market Risk
Juno Beach, FL · On-site
Our Market Risk Management team brings together several disciplines that are often managed separately at other organizations, including market and commodity risk management, valuation and controls ...
Director Market Risk
Juno Beach, FL · On-site
Our Market Risk Management team brings together several disciplines that are often managed separately at other organizations, including market and commodity risk management, valuation and controls ...
Our Market Risk Management team brings together several disciplines that are often managed separately at other organizations, including market and commodity risk management, valuation and controls ...
Our Market Risk Management team brings together several disciplines that are often managed separately at other organizations, including market and commodity risk management, valuation and controls ...
Market Risk - BA/DA
Jersey City, NJ · On-site
Project Management & UAT: Lead User Acceptance Testing (UAT) for system upgrades, regulatory ... Strong command of market risk methodologies: VaR (Historical, Monte Carlo, Parametric), Expected ...
Market Risk - BA/DA
Jersey City, NJ · On-site
Project Management & UAT: Lead User Acceptance Testing (UAT) for system upgrades, regulatory ... Strong command of market risk methodologies: VaR (Historical, Monte Carlo, Parametric), Expected ...
NY · On-site
Our Market Risk Management team brings together several disciplines that are often managed separately at other organizations, including market and commodity risk management, valuation and controls ...
NY · On-site
Our Market Risk Management team brings together several disciplines that are often managed separately at other organizations, including market and commodity risk management, valuation and controls ...
Purpose: The ERM Market Risk Analyst II is responsible for providing financial and analytical ... The role resides in the Enterprise Risk Management department, whose primary focus is identifying ...
Purpose: The ERM Market Risk Analyst II is responsible for providing financial and analytical ... The role resides in the Enterprise Risk Management department, whose primary focus is identifying ...
The Asset Liability Management (ALM) & Market Risk Modeling team within the Corporate Treasury develops and maintains models used for financial planning and market risk management across Schwab ...
The Asset Liability Management (ALM) & Market Risk Modeling team within the Corporate Treasury develops and maintains models used for financial planning and market risk management across Schwab ...
Purpose: The ERM Market Risk Analyst II is responsible for providing financial and analytical ... The role resides in the Enterprise Risk Management department, whose primary focus is identifying ...
Purpose: The ERM Market Risk Analyst II is responsible for providing financial and analytical ... The role resides in the Enterprise Risk Management department, whose primary focus is identifying ...
Associate, Market Risk
Madison, WI · On-site
$90K - $155K/yr
Participate in regulatory projects and change management efforts * Utilize Python scripting (or ... Support Market Risk governance activities ranging from limit monitoring to the development and ...
Associate, Market Risk
Madison, WI · On-site
$90K - $155K/yr
Participate in regulatory projects and change management efforts * Utilize Python scripting (or ... Support Market Risk governance activities ranging from limit monitoring to the development and ...
Strong Market Risk experience and familiar with HVaR model management * Experience with FRTB and/or ... Strong & proven track record in strategic project management and delivering complex solutions are ...
Strong Market Risk experience and familiar with HVaR model management * Experience with FRTB and/or ... Strong & proven track record in strategic project management and delivering complex solutions are ...
Manager, ALM, Market Risk Modeling
Westlake, TX · On-site
$100K - $150K/yr
The Asset Liability Management (ALM) & Market Risk Modeling team within the Corporate Treasury develops and maintains models used for financial planning and market risk management across Schwab ...
Manager, ALM, Market Risk Modeling
Westlake, TX · On-site
$100K - $150K/yr
The Asset Liability Management (ALM) & Market Risk Modeling team within the Corporate Treasury develops and maintains models used for financial planning and market risk management across Schwab ...
PSE's Market Risk and Analytics team work closely with Energy Supply Trading and Acquisition teams ... Experience leading teams and managing projects. * Experience directing meetings, organizing work ...
PSE's Market Risk and Analytics team work closely with Energy Supply Trading and Acquisition teams ... Experience leading teams and managing projects. * Experience directing meetings, organizing work ...
Market Risk Project Manager information
See salary details
$18.75 - $23.58
1% of jobs
$23.58 - $28.41
8% of jobs
$28.41 - $33.24
16% of jobs
$33.31 is the 25th percentile. Wages below this are outliers.
$33.24 - $38.07
19% of jobs
The median wage is $39.84 / hr.
$38.07 - $42.90
16% of jobs
$42.90 - $47.73
10% of jobs
$51 is the 75th percentile. Wages above this are outliers.
$47.73 - $52.56
8% of jobs
$52.56 - $57.39
8% of jobs
$57.39 - $62.22
6% of jobs
$62.22 - $67.05
5% of jobs
$67.05 - $71.87
3% of jobs
$18
$44
$71
How much do market risk project manager jobs pay per hour?
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For Market Risk Project Manager jobs, the most frequently searched job titles are:

Risk, Market Risk, Associate, New York
New York, NY • On-site
Full-time
Re-posted 5 hours ago
Goldman Sachs rating
7.8
Based on 28 frontline employees who took The Breakroom Quiz
Job description
Risk Division
The Risk Division, as second line of defense for the firm, identifies, anticipates, measures and mitigates - whenever appropriate - the diverse array of risks that the firm faces in serving clients and operating its global businesses. Risk professionals focus on giving the firm clarity on the risk profile of our activities and devise strategies to protect the firm's ability to serve our clients as a leader in global financial markets.
Market Risk Overview
Market Risk (MR) are part of the Risk division and are responsible for effective deployment of the firm's market risk appetite, prudent risk management and regulatory compliance for the Firm's market risks. This is achieved through the proactive application of expert knowledge, judgement and risk management capabilities including limit setting. Activities are centered on Risk management and analysis, transparency and escalation of Risk, Supervision and overall process improvement.
You will work closely with colleagues around the globe on tasks and projects that contribute directly to the firm's success. MR professionals gain diverse financial experience and a broad perspective on how the entire firm functions. The interaction with numerous departments and the range of projects that ensue allow for a challenging, varied and multi-dimensional work environment.
Responsibilities
- Evaluate market risk taking behavior and influence outcomes through portfolio and transaction level risk analysis as well as risk limit calibration and setting
- Understand factors and events that could lead to an impact on the financial markets, and analyze their impact on the firm's portfolios
- Perform pro-active ad hoc stress tests ahead of notable market events
- Ensure that issues are promptly escalated to senior management.
- Direct the implementation of new risk measures and improvements to existing measures using knowledge of risk management and communicating directly with senior management on risk-related issues.
- Review and challenge risk taking activities while engaging effectively with traders/bankers
- Monitor adherence to established risk limits and ensuring that material risks are effectively communicated to senior management.
- Maintain shared responsibility for signing off on the Market Risk approval process for new products traded by the businesses covered.
- Operate at an intersection of risk appetite and conducting business.
- Improve commercial impact and effective personnel performance under a robust control environment
Qualifications
- Strong academic record in quantitative discipline, with Bachelor's/Master's degree in STEM field (Science, Technology, Engineering, Mathematics) preferred.
- Demonstrable knowledge of core market risk principles, metrics, and financial instruments, with prior experience in Equities and Derivatives preferable. Coding skills will be a plus.
- Ability to collaborate with people from different departments and levels of seniority
- Ability to communicate complex information directly with senior management
- 3-5 years' experience in the industry/a relevant role
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About Goldman Sachs
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At Goldman Sachs, we commit our people, capital and ideas to help our clients, shareholders and the communities we serve to grow. Founded in 1869, we are a leading global investment banking, securities and investment management firm. Headquartered in New York, we maintain offices around the world. We believe who you are makes you better at what you do. We're committed to fostering and advancing diversity and inclusion in our own workplace and beyond by ensuring every individual within our firm has a number of opportunities to grow professionally and personally, from our training and development opportunities and firmwide networks to benefits, wellness and personal finance offerings and mindfulness programs.
Industry
Finance and insurance
Company size
10,000+ Employees
Headquarters location
New York, NY, US
Year founded
1869