Market Risk Manager
Coppell, TX · Hybrid
Market Risk Manager is responsible for the monitoring of daily margin calculation and managing market and liquidity risk exposures arising from trade execution and settlement activities in the ...
Coppell, TX · Hybrid
Market Risk Manager is responsible for the monitoring of daily margin calculation and managing market and liquidity risk exposures arising from trade execution and settlement activities in the ...
Coppell, TX · Hybrid
Market Risk Manager is responsible for the monitoring of daily margin calculation and managing market and liquidity risk exposures arising from trade execution and settlement activities in the ...
Associate, Market Risk with Goldman Sachs & Co. LLC in Dallas, Texas. Participate in the ongoing review of risk measures (VaR, greeks, stress tests) and interact with 1st line risk takers. Evaluate ...
Associate, Market Risk with Goldman Sachs & Co. LLC in Dallas, Texas. Participate in the ongoing review of risk measures (VaR, greeks, stress tests) and interact with 1st line risk takers. Evaluate ...
Associate, Market Risk with Goldman Sachs & Co. LLC in Dallas, Texas. Participate in the ongoing review of risk measures (VaR, greeks, stress tests) and interact with 1st line risk takers. Evaluate ...
Associate, Market Risk with Goldman Sachs & Co. LLC in Dallas, Texas. Participate in the ongoing review of risk measures (VaR, greeks, stress tests) and interact with 1st line risk takers. Evaluate ...
Associate, Market Risk with Goldman Sachs & Co. LLC in Dallas, Texas. Participate in the ongoing review of risk measures (VaR, greeks, stress tests) and interact with 1st line risk takers. Evaluate ...
Associate, Market Risk with Goldman Sachs & Co. LLC in Dallas, Texas. Participate in the ongoing review of risk measures (VaR, greeks, stress tests) and interact with 1st line risk takers. Evaluate ...
Market Risk for Fixed Income Clearing Corporation (FICC) is responsible for monitoring daily margin calculations and managing market and liquidity risk exposures arising from trade execution and ...
Market Risk for Fixed Income Clearing Corporation (FICC) is responsible for monitoring daily margin calculations and managing market and liquidity risk exposures arising from trade execution and ...
Coppell, TX · On-site
Market Risk for Fixed Income Clearing Corporation (FICC) is responsible for monitoring daily margin calculations and managing market and liquidity risk exposures arising from trade execution and ...
Coppell, TX · On-site
Market Risk for Fixed Income Clearing Corporation (FICC) is responsible for monitoring daily margin calculations and managing market and liquidity risk exposures arising from trade execution and ...
Market Risk for Fixed Income Clearing Corporation (FICC) is responsible for monitoring daily margin calculations and managing market and liquidity risk exposures arising from trade execution and ...
Market Risk for Fixed Income Clearing Corporation (FICC) is responsible for monitoring daily margin calculations and managing market and liquidity risk exposures arising from trade execution and ...
Market Risk for Fixed Income Clearing Corporation (FICC) and National Securities Clearing Corporation (NSCC) is responsible for the monitoring of daily margin calculation and managing market and ...
Market Risk for Fixed Income Clearing Corporation (FICC) and National Securities Clearing Corporation (NSCC) is responsible for the monitoring of daily margin calculation and managing market and ...
Coppell, TX · On-site
Market Risk for Fixed Income Clearing Corporation (FICC) and National Securities Clearing Corporation (NSCC) is responsible for the monitoring of daily margin calculation and managing market and ...
Coppell, TX · On-site
Market Risk for Fixed Income Clearing Corporation (FICC) and National Securities Clearing Corporation (NSCC) is responsible for the monitoring of daily margin calculation and managing market and ...
Risk Engineering - Market Risk Location: Dallas, Americas About Goldman Sachs At Goldman Sachs , we commit our people, capital, and ideas to help our clients, shareholders, and the communities we ...
Risk Engineering - Market Risk Location: Dallas, Americas About Goldman Sachs At Goldman Sachs , we commit our people, capital, and ideas to help our clients, shareholders, and the communities we ...
Risk Engineering - Market Risk Location: Dallas, Americas About Goldman Sachs At Goldman Sachs , we commit our people, capital, and ideas to help our clients, shareholders, and the communities we ...
Risk Engineering - Market Risk Location: Dallas, Americas About Goldman Sachs At Goldman Sachs , we commit our people, capital, and ideas to help our clients, shareholders, and the communities we ...
Risk Engineering - Market Risk Location: Dallas, Americas About Goldman Sachs At Goldman Sachs , we commit our people, capital, and ideas to help our clients, shareholders, and the communities we ...
Risk Engineering - Market Risk Location: Dallas, Americas About Goldman Sachs At Goldman Sachs , we commit our people, capital, and ideas to help our clients, shareholders, and the communities we ...
Python Engineer Join us as a Python engineer to collaborate with Market Risk stakeholders and deliver swift, practical solutions. You'll actively shape priorities, contribute ideas, and promote ...
Python Engineer Join us as a Python engineer to collaborate with Market Risk stakeholders and deliver swift, practical solutions. You'll actively shape priorities, contribute ideas, and promote ...
Westlake, TX · On-site
$121K - $269K/yr
The Asset Liability Management (ALM) & Market Risk Modeling team within Corporate Treasury develops and maintains models used for financial planning and market risk management across Schwab ...
Westlake, TX · On-site
$121K - $269K/yr
The Asset Liability Management (ALM) & Market Risk Modeling team within 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 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 Corporate Treasury develops and maintains models used for financial planning and market risk management across Schwab ...
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 ...
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 ...
Analyze, model, and report market risk for all Energy trading activities. Work closely with traders to quantify and explain the sources of risk in their portfolios. Contribute to senior management ...
Analyze, model, and report market risk for all Energy trading activities. Work closely with traders to quantify and explain the sources of risk in their portfolios. Contribute to senior management ...
Analyze market risk exposures for all products and accounts cleared by OCC, or part of an OCC supported process (i.e. cross-margin). Analysis is performed using proprietary OCC tools/applications.
Analyze market risk exposures for all products and accounts cleared by OCC, or part of an OCC supported process (i.e. cross-margin). Analysis is performed using proprietary OCC tools/applications.
Responsibilities: • Analyze, model, and report market risk for all Energy trading activities. • Work closely with traders to quantify and explain the sources of risk in their portfolios. • ...
Responsibilities: • Analyze, model, and report market risk for all Energy trading activities. • Work closely with traders to quantify and explain the sources of risk in their portfolios. • ...
Engage with industry participants on market trends, competitive activities, and topic-specific ... Credit Risk, Liquidity Risk, Market Risk, Capital Management/Stress Testing * Knowledge of ...
Engage with industry participants on market trends, competitive activities, and topic-specific ... Credit Risk, Liquidity Risk, Market Risk, Capital Management/Stress Testing * Knowledge of ...
$64.3K - $71.5K
13% of jobs
$78.6K is the 25th percentile. Wages below this are outliers.
$71.5K - $78.8K
13% of jobs
$78.8K - $86K
11% of jobs
$86K - $93.3K
0% of jobs
$93.3K - $100.5K
2% of jobs
$100.5K - $107.7K
9% of jobs
The median wage is $109.5K / yr.
$107.7K - $115K
11% of jobs
$115K - $122.2K
11% of jobs
$126.3K is the 75th percentile. Wages above this are outliers.
$122.2K - $129.5K
12% of jobs
$129.5K - $136.7K
9% of jobs
$136.7K - $143.9K
11% of jobs
$64.3K
$107.2K
$143.9K
| Aspect | Market Risk | Credit Analyst |
|---|---|---|
| Primary Focus | Assessing risks from market movements, such as interest rates, currency, and equity prices | Evaluating the creditworthiness of borrowers and assessing credit risk |
| Required Credentials | Typically a degree in finance, economics, or related fields; certifications like FRM or CFA | Similar credentials, often CFA or credit-specific certifications |
| Work Environment | Financial institutions, trading desks, risk management departments | Banks, lending institutions, credit agencies |
| Industry Usage | Commonly used in investment banks, asset managers, and hedge funds | Used across banking, lending, and credit risk sectors |
While both roles require strong financial knowledge and certifications like CFA, Market Risk professionals focus on analyzing risks from market fluctuations, whereas Credit Analysts evaluate the creditworthiness of borrowers. Both roles are vital in financial institutions but serve different risk management functions.
Other
Medical, Life, Retirement, PTO
Posted 14 days ago