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Portfolio Risk Manager Jobs in Florida (NOW HIRING)

Senior Vice President, Credit Risk

Lake Mary, FL ยท On-site +1

$143K - $190K/yr

Perform Credit Analysis & Approval/Portfolio Management by completing complex analyses of industry ... Perform Operational Credit Risk by completing numerous complex credit processing and assessment ...

Our team is skilled in market analysis, trading, risk management and delivering tailored customer ... Manages assigned regional portfolio management tasks including valuation of seasonal hedging ...

Portfolio Manager (PM) Role Summary The Portfolio Manager (PM) is responsible for independent ... Apply risk-based criteria to qualify accounts, determine appropriate review scope, and assess ...

Our team is skilled in market analysis, trading, risk management and delivering tailored customer ... Manages assigned regional portfolio management tasks including valuation of seasonal hedging ...

Our team is skilled in market analysis, trading, risk management and delivering tailored customer ... Manages assigned regional portfolio management tasks including valuation of seasonal hedging ...

Our team is skilled in market analysis, trading, risk management and delivering tailored customer ... Manages assigned regional portfolio management tasks including valuation of seasonal hedging ...

Manages all aspects of the client's investment portfolio including asset allocation, portfolio construction, security/manager selection, trade execution, risk management and compliance, and ...

Portfolio Manager (PM)Role Summary The Portfolio Manager (PM) is responsible for independent credit ... Apply risk-based criteria to qualify accounts, determine appropriate review scope, and assess ...

Location: On site in Orlando, FL SUMMARY The Portfolio Manager assists in the assessment of risk and management of the Bank's loan portfolio by providing analytical and credit oversight and is ...

Location: On site in Orlando, FL SUMMARY The Portfolio Manager assists in the assessment of risk and management of the Bank's loan portfolio by providing analytical and credit oversight and is ...

Program Manager, Fleet Strategy Company Overview At Mitsubishi Power, we're not just building ... Portfolio Risk, and Commercial teams, providing program structure, cadence, and transparency.

This individual must ensure that BankUnited's third party portfolio is properly evaluated, assessed, and managed to minimize risk exposure and risk impacts to BankUnited. This role will be part of ...

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Portfolio Risk Manager information

See Florida salary details

$27.6K

$75.1K

$140.1K

How much do portfolio risk manager jobs pay per year?

As of Jul 7, 2026, the average yearly pay for portfolio risk manager in Florida is $75,072.00, according to ZipRecruiter salary data. Most workers in this role earn between $48,900.00 and $97,100.00 per year, depending on experience, location, and employer.

What is the highest paying risk management job?

Senior risk management roles such as Chief Risk Officer (CRO) or Director of Risk typically offer the highest salaries in risk management, often exceeding six figures annually. These positions require extensive experience, advanced certifications like FRM or PRM, and strong leadership skills, especially in financial services and large corporations.

How does a Portfolio Risk Manager typically collaborate with investment teams to manage risk?

Portfolio Risk Managers work closely with portfolio managers, analysts, and traders to identify, assess, and mitigate potential risks within investment portfolios. They regularly participate in strategy meetings, provide risk analysis on proposed trades, and ensure portfolios remain aligned with the firm's risk appetite and regulatory requirements. Effective communication and data-driven insights are key, as Portfolio Risk Managers must translate complex risk metrics into actionable recommendations for the investment team. This collaborative approach helps ensure that investment decisions balance potential returns with an appropriate level of risk.

What is the highest salary for a risk manager?

The highest salaries for portfolio risk managers can exceed $150,000 to $200,000 annually, especially for those with extensive experience, advanced certifications like FRM or CFA, and working in major financial centers. Senior risk managers or those in leadership roles may earn even higher compensation, including bonuses and incentives.

How much does a risk manager get paid?

A portfolio risk manager's average salary in the United States ranges from $80,000 to $150,000 annually, depending on experience, location, and industry. Senior risk managers or those with specialized certifications like FRM or CFA can earn higher compensation, often exceeding $200,000 with bonuses and benefits included.

What are the key skills and qualifications needed to thrive as a Portfolio Risk Manager, and why are they important?

To thrive as a Portfolio Risk Manager, you need strong quantitative analysis, financial modeling abilities, and a solid understanding of risk management principles, often supported by a degree in finance, economics, or a related field. Familiarity with risk analytics tools such as Bloomberg, MATLAB, or SAS, and certifications like FRM or CFA are typically required. Strong communication, critical thinking, and problem-solving skills help in presenting complex risk findings to stakeholders and making sound decisions under pressure. These competencies are crucial for identifying, assessing, and mitigating risks to optimize portfolio performance and protect organizational assets.

What does a portfolio risk manager do?

A portfolio risk manager analyzes and monitors the risks associated with investment portfolios to ensure they align with the organization's risk appetite and objectives. They use tools like risk assessment models and financial data analysis to identify potential threats and implement strategies to mitigate losses, often working closely with investment teams and utilizing certifications such as FRM or CFA. Their role involves continuous evaluation of market conditions and portfolio performance to maintain optimal risk levels.
What cities in Florida are hiring for Portfolio Risk Manager jobs? Cities in Florida with the most Portfolio Risk Manager job openings:
Infographic showing various Portfolio Risk Manager job openings in Florida as of July 2026, with employment types broken down into 100% Full Time. Highlights an 100% In-person job distribution, with an average salary of $75,072 per year, or $36.1 per hour.

Senior Vice President, Credit Risk

BNY

Lake Mary, FL โ€ข On-site, Remote

$143K - $190K/yr

Full-time

Posted 19 days ago


Job description

Pershing, LLC seeks Senior Vice President, Credit Risk in Lake Mary, FL, to coordinate risk management efforts for the assigned credit risk focus, such as Credit Analysis & Approval/Portfolio Management, Operational Credit Risk, Country Risk or Credit Administration, and customize solutions for each region using knowledge of best practices and growing industry experience. Conduct statistical analyses to quantify risk, using statistical analysis software or econometric models. Contribute to development of risk management systems. Develop or implement risk-assessment methodologies. Responsible for the accuracy, timeliness and completeness of documentation. Perform Credit Analysis & Approval/Portfolio Management by completing complex analyses of industry, country and counter party credit portfolios and credit portfolio quality. Perform Operational Credit Risk by completing numerous complex credit processing and assessment activities, including credit analysis, underwriting, borrower rating approval and transaction review and approval for intraday credit. Devise scenario analyses reflecting possible severe market events and processes to monitor validity of risk assessments. Develop contingency plans to deal with emergencies. Perform Credit Administration and provide input on the Credit Risk's policies and procedures. Interpret and analyze regulatory requirements that require new or revisions to policy. Contribute to the preparation of credit proposals, preparing documentation, and financial spreads. Document and ensure communication of key risks. Maintain input or data quality of risk management systems. Produce reports or presentations that outline findings, explain risk positions, or recommend changes. Use credit systems such as the credit borrower rating system and credit approval system. Resolve complex system issues and frequently directs the development of credit system best practices. Recommend nuanced policy and procedure improvements. Design remedial solutions and remediation tasks. Contribute to reports on credit quality and asset value changes for the assigned credit discipline. Inform financial decisions by analyzing financial information to forecast business, industry, or economic conditions. Meet with clients to answer queries on risk exposure, market scenarios, or values-at-risk calculations. Recommend ways to control or reduce risk. Remote work may be permitted within a commutable distance from the worksite.

REQUIREMENTS: Bachelor's degree, or foreign equivalent, in Finance, Mathematics, Computer Engineering, or a related field, and ten (10) years of progressively responsible experience in the job offered or in a related occupation in the financial services industry. Ten (10) years of progressively responsible experience must include: Validating simulation based VaR and Stress VaR model calculations by evaluating quality of market data, analyzing pricing and risk impact data, and investigating calculation anomalies; Building automation tools to extract and aggregate data, and streamline risk reporting production; Performing analysis on a large volume of data using Excel, VBA, and SQL; Monitoring the fund portfolios for concentrations, illiquidity, and collateral weakness; Analyzing financial statements including Balance Sheets, Income Statements, and Cash Flow Statements; and Performing margin evaluations for hedge fund and mutual fund clients and prospects.

Qualified applicants please apply online at https://bnymellon.eightfold.ai/careers and utilize reference code #75880. Please indicate "referral source - advertisement - WEB."

BNY assesses market data to ensure a competitive compensation package for our employees. The base salary/range for this position is expected to be $143,250.00 - $190,000.00 per year at the commencement of employment. Base salary if hired will be determined on an individualized basis, including as to experience and market location, and is only part of the BNY total compensation package, which, depending on the position, may also include commission earnings, discretionary bonuses, short and long-term incentive packages, and Company-sponsored benefit programs.ย 

This position is at-will, and the Company reserves the right to modify the base salary (as well as any other discretionary payment or compensation) at any time, including for reasons related to individual performance, change in geographic location, Company or individual department/team performance, and market factors.ย 

BNY is an Equal Employment Opportunity/Affirmative Action Employer. Minorities/Females/Individuals with Disabilities/Protected Veterans.