Market Risk Senior Analyst
Coppell, TX ยท On-site
FR&G collaborates closely with Quantitative Risk Management and the Counterparty Credit Risk teams ... analyze, and mitigate potential risks and safeguard financial markets, in which DTCC plays a ...
Coppell, TX ยท On-site
FR&G collaborates closely with Quantitative Risk Management and the Counterparty Credit Risk teams ... analyze, and mitigate potential risks and safeguard financial markets, in which DTCC plays a ...
Coppell, TX ยท On-site
FR&G collaborates closely with Quantitative Risk Management and the Counterparty Credit Risk teams ... analyze, and mitigate potential risks and safeguard financial markets, in which DTCC plays a ...
This role requires deep expertise in consumer credit risk analytics and is ideal for a hands-on leader who combines strong quantitative capabilities with capital markets fluency and executive-level ...
Quick apply
Apply Early
This role requires deep expertise in consumer credit risk analytics and is ideal for a hands-on leader who combines strong quantitative capabilities with capital markets fluency and executive-level ...
Apply Early
The analyst must focus on risk governance and corporate resiliency and not be driven solely by ... Define qualitative and quantitative metrics to assess the success of the risk program and provide ...
The analyst must focus on risk governance and corporate resiliency and not be driven solely by ... Define qualitative and quantitative metrics to assess the success of the risk program and provide ...
This role requires deep expertise in consumer credit risk analytics and is ideal for a hands-on leader who combines strong quantitative capabilities with capital markets fluency and executive-level ...
This role requires deep expertise in consumer credit risk analytics and is ideal for a hands-on leader who combines strong quantitative capabilities with capital markets fluency and executive-level ...
Preferred Skills Analytical Thinking, Credit Risks, Data Analytics, Data Reporting, Financial Analysis, Model Development, Operational Risks, Quantitative Models, Risk Appetite, Structured Query ...
Preferred Skills Analytical Thinking, Credit Risks, Data Analytics, Data Reporting, Financial Analysis, Model Development, Operational Risks, Quantitative Models, Risk Appetite, Structured Query ...
Analytical and Quantitative Thinking * Credit Risk and Fraud Risk Fundamentals * Model Performance Monitoring and Interpretation * Underwriting Policy and Decision Rule Analysis * Data Management ...
Analytical and Quantitative Thinking * Credit Risk and Fraud Risk Fundamentals * Model Performance Monitoring and Interpretation * Underwriting Policy and Decision Rule Analysis * Data Management ...
Plano, TX ยท On-site +1
The Opportunity As a dedicated Bank Credit Risk Lead Analyst, you will leverage advanced analytics ... Proactively Identifies the need for and leads development of advanced and nuanced quantitative ...
Plano, TX ยท On-site +1
The Opportunity As a dedicated Bank Credit Risk Lead Analyst, you will leverage advanced analytics ... Proactively Identifies the need for and leads development of advanced and nuanced quantitative ...
Analyze quantitative risk metrics using financial models such as Value at Risk (VaR) and Stress Test measures, to estimate market risk impact on clients and the Firm. Provide training and guidance to ...
Analyze quantitative risk metrics using financial models such as Value at Risk (VaR) and Stress Test measures, to estimate market risk impact on clients and the Firm. Provide training and guidance to ...
Analytical and Quantitative Thinking * Credit Risk and Fraud Risk Fundamentals * Model Performance Monitoring and Interpretation * Underwriting Policy and Decision Rule Analysis * Data Management ...
Analytical and Quantitative Thinking * Credit Risk and Fraud Risk Fundamentals * Model Performance Monitoring and Interpretation * Underwriting Policy and Decision Rule Analysis * Data Management ...
Plano, TX ยท On-site +1
The Opportunity As a dedicated Bank Credit Risk Lead Analyst, you will leverage advanced analytics ... Proactively Identifies the need for and leads development of advanced and nuanced quantitative ...
Plano, TX ยท On-site +1
The Opportunity As a dedicated Bank Credit Risk Lead Analyst, you will leverage advanced analytics ... Proactively Identifies the need for and leads development of advanced and nuanced quantitative ...
* The Senior Technology and Data Risk Analyst is responsible for assisting the Enterprise Risk Manager - Technology and Data Riskin implementing quantitative and qualitative measures of Technology and ...
* The Senior Technology and Data Risk Analyst is responsible for assisting the Enterprise Risk Manager - Technology and Data Riskin implementing quantitative and qualitative measures of Technology and ...
Analyze quantitative risk metrics using financial models such as Value at Risk (VaR) and Stress Test measures, to estimate market risk impact on clients and the Firm. Provide training and guidance to ...
Analyze quantitative risk metrics using financial models such as Value at Risk (VaR) and Stress Test measures, to estimate market risk impact on clients and the Firm. Provide training and guidance to ...
Analyze quantitative risk metrics using financial models such as Value at Risk (VaR) and Stress Test measures, to estimate market risk impact on clients and the Firm. Provide training and guidance to ...
Analyze quantitative risk metrics using financial models such as Value at Risk (VaR) and Stress Test measures, to estimate market risk impact on clients and the Firm. Provide training and guidance to ...
The Opportunity As a dedicated Bank Credit Risk Analyst, you will use quantitative methods to identify credit risk, develop and deliver credit strategies, and monitor credit performance for consumer ...
The Opportunity As a dedicated Bank Credit Risk Analyst, you will use quantitative methods to identify credit risk, develop and deliver credit strategies, and monitor credit performance for consumer ...
Analyze quantitative risk metrics using financial models such as Value at Risk (VaR) and Stress Test measures to estimate market risk impact on clients and the Firm. Provide training and guidance to ...
Analyze quantitative risk metrics using financial models such as Value at Risk (VaR) and Stress Test measures to estimate market risk impact on clients and the Firm. Provide training and guidance to ...
The Opportunity As a dedicated Bank Credit Risk Analyst, you will use quantitative methods to identify credit risk, develop and deliver credit strategies, and monitor credit performance for consumer ...
The Opportunity As a dedicated Bank Credit Risk Analyst, you will use quantitative methods to identify credit risk, develop and deliver credit strategies, and monitor credit performance for consumer ...
Irving, TX ยท Hybrid
Demonstrated quantitative skills * Acute attention to detail * Effective written and verbal ... Risk Credit Policy Analyst II is responsible for analyzing credit risk exposure related to consumer ...
Irving, TX ยท Hybrid
Demonstrated quantitative skills * Acute attention to detail * Effective written and verbal ... Risk Credit Policy Analyst II is responsible for analyzing credit risk exposure related to consumer ...
FINRA is seeking a Senior Risk Monitoring Analyst to play a pivotal role in safeguarding the ... Intermediate-to-Advanced quantitative and analytical problem-solving abilities * Proven ability to ...
FINRA is seeking a Senior Risk Monitoring Analyst to play a pivotal role in safeguarding the ... Intermediate-to-Advanced quantitative and analytical problem-solving abilities * Proven ability to ...
Irving, TX ยท On-site
Risk Credit Policy Analyst II is responsible for analyzing credit risk exposure related to consumer ... Demonstrated quantitative skills * Acute attention to detail * Effective written and verbal ...
Irving, TX ยท On-site
Risk Credit Policy Analyst II is responsible for analyzing credit risk exposure related to consumer ... Demonstrated quantitative skills * Acute attention to detail * Effective written and verbal ...
... Quantitative Analytics Senior Analyst. The primary responsibility of this role is to develop ... Success means delivering reliable, timely valuations and risk insights that empower Treasury and ...
... Quantitative Analytics Senior Analyst. The primary responsibility of this role is to develop ... Success means delivering reliable, timely valuations and risk insights that empower Treasury and ...
$52.6K - $68.1K
4% of jobs
$68.1K - $83.6K
10% of jobs
$83.6K - $99.1K
10% of jobs
$101.2K is the 25th percentile. Wages below this are outliers.
$99.1K - $114.6K
12% of jobs
The median wage is $120.1K / yr.
$114.6K - $130.1K
43% of jobs
$130.1K - $145.7K
9% of jobs
$145.7K - $161.2K
11% of jobs
$161.2K - $176.7K
0% of jobs
$176.7K - $192.2K
1% of jobs
$192.2K - $207.7K
2% of jobs
$207.7K - $223.2K
0% of jobs
$52.6K
$124.5K
$223.2K
| Aspect | Quantitative Risk Analyst | Credit Risk Analyst |
|---|---|---|
| Required Credentials | Degree in finance, economics, or mathematics; certifications like FRM or CFA | Degree in finance, economics, or related; certifications like FRM or CFA often preferred |
| Work Environment | Financial institutions, investment firms, risk management departments | Banks, lending institutions, credit agencies |
| Employer & Industry Usage | Used across finance sectors for risk modeling and analysis | Primarily in banking and lending for assessing creditworthiness |
| Comparison Search Intent | Understanding differences in risk analysis roles | Distinguishing credit-specific risk roles from broader risk analysis |
While both roles involve risk assessment and require similar credentials, a Quantitative Risk Analyst focuses on modeling and analyzing various financial risks using quantitative methods across multiple risk types. In contrast, a Credit Risk Analyst specializes in evaluating creditworthiness and managing credit risk specifically within lending and banking sectors.

Full-time
Medical, Life, Retirement, PTO
Posted 13 hours ago
JOB DESCRIPTION
Are you ready to make an impact at DTCC?
Do you want to work on innovative projects, collaborate with a dynamic and supportive team, and receive investment in your professional development? At DTCC, we are at the forefront of innovation in the financial markets. We're committed to helping our employees grow and succeed. We believe that you have the skills and drive to make a real impact. We foster a thriving internal community and are committed to creating a workplace that looks like the world that we serve.
Pay and Benefits:
The Impact you will have in this role :
FR&Gโs mission is to provide effective and efficient identification, measurement, monitoring and control of market, liquidity & Stress Testing related to the clearing and settlement processes for DTCC, its members, and the markets. In addition, FR&G provides critical governance and quality assurance capabilities for key risk functions that are designed to meet rigorous organizational and regulatory standards. FR&G works to manage these risks within defined risk tolerances under delegated authority approved by the Board and senior management. FR&G collaborates closely with Quantitative Risk Management and the Counterparty Credit Risk teams to maintain an integrated and comprehensive approach to financial risk management at DTCC to support an effective second line of defense. FR&Gโs prime directive for DTCC's applicable clearing agencies and joint ventures consists of the following:
โข Maintain sufficient collateral to cover any losses associated with the liquidation of any defaulting member or family portfolio under extreme but plausible scenarios;
โข Ensure that sufficient liquidity resources are available so that each entity is able to settle all transactions as contracted in the event of a failure by the single largest member or family under extreme but plausible circumstances;
โข Exercise continuous improvement of policies, procedures and processes that support robust, ongoing member surveillance and effective but appropriate response to distress events; and
โข Support FR&G to maintain a deep and broad product knowledge and risk framework to effectively measure and manage market, liquidity and credit risks.
Your Primary Responsibilities :
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 settlement activities in the clearing corporations. Responsibilities include driving new business initiatives, overseeing risk systems design and continuous enhancements, compliance with Risk Management policies and procedures, understanding of margining methodologies, keen awareness of financial markets and client profiles, and effectively collaborate with other DTCC teams to identify, analyze, and mitigate potential risks and safeguard financial markets, in which DTCC plays a pivotal role.
NOTE: The Primary Responsibilities of this role are not limited to the details above.
Qualifications:
Talents Needed for Success:
The salary range is indicative for roles at the same level within DTCC across all US locations. Actual salary is determined based on the role, location, individual experience, skills, and other considerations. We are an equal opportunity employer and value diversity at our company. We do not discriminate on the basis of race, religion, color, national origin, sex, gender, gender expression, sexual orientation, age, marital status, veteran status, or disability status. We will ensure that individuals with disabilities are provided reasonable accommodation to participate in the job application or interview process, to perform essential job functions, and to receive other benefits and privileges of employment. Please contact us to request accommodation .
ABOUT US
With over 50 years of experience, DTCC is the premier post-trade market infrastructure for the global financial services industry. From 20 locations around the world, DTCC, through its subsidiaries, automates, centralizes, and standardizes the processing of financial transactions, mitigating risk, increasing transparency, enhancing performance and driving efficiency for thousands of broker/dealers, custodian banks and asset managers. Industry owned and governed, the firm innovates purposefully, simplifying the complexities of clearing, settlement, asset servicing, transaction processing, trade reporting and data services across asset classes, bringing enhanced resilience and soundness to existing financial markets while advancing the digital asset ecosystem. In 2024, DTCCโs subsidiaries processed securities transactions valued at U.S. $3.7 quadrillion and its depository subsidiary provided custody and asset servicing for securities issues from over 150 countries and territories valued at U.S. $99 trillion. DTCCโs Global Trade Repository service, through locally registered, licensed, or approved trade repositories, processes more than 25 billion messages annually. To learn more, please visit us at www.dtcc.com or connect with us on LinkedIn , X , YouTube , Facebook and Instagram .
DTCC proudly supports Flexible Work Arrangements favoring openness and gives people freedom to do their jobs well, by encouraging diverse opinions and emphasizing teamwork. When you join our team, youโll have an opportunity to make meaningful contributions at a company that is recognized as a thought leader in both the financial services and technology industries. A DTCC career is more than a good way to earn a living. Itโs the chance to make a difference at a company thatโs truly one of a kind.
Learn more about Clearance and Settlement by clicking here .
ABOUT THE TEAM
Our Risk Management teams work to protect the safety and soundness of our systems and are responsible for identifying, managing, measuring and mitigating a spectrum of key risk types including credit, market, liquidity, systemic, operational and technology in all existing and new products, activities, processes and systems.