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Sr Risk Analyst Jobs (NOW HIRING)

Senior Analyst, Risk - Houston, Texas Company Information: Alpha Generation manages and operates power generation facilities that are well positioned to provide reliable, secure, safe, and ...

Sr. Risk Analyst

Vacaville, CA · Hybrid

$98K - $121K/yr

Senior Risk Analyst - Grade15/Exempt/$82,680.00 - $102,128.00 annually * Reports directly to assigned department leadership. * Self-starter and ability to work independently with periodic guidance ...

Sr. Risk Analyst

Vacaville, CA · On-site

$98K - $121K/yr

Senior Risk Analyst - Grade15/Exempt/$82,680.00 - $102,128.00 annually * * Reports directly to assigned department leadership. * Self-starter and ability to work independently with periodic guidance ...

Job Summary A Senior Risk Analyst (SRA) analyzes data and documentation to assess risks, reviews current processes and controls, and recommends improvements to enhance efficiency and reduce risk. The ...

Sr. Risk Analyst

Vacaville, CA · On-site

$98K - $121K/yr

Senior Risk Analyst - Grade15/Exempt/$82,680.00 - $102,128.00 annually * Reports directly to assigned department leadership. * Self-starter and ability to work independently with periodic guidance ...

Sr. Risk Analyst

Irving, TX · On-site

$115K/yr

Cortex Management LLC d/b/a Cortex seeks Sr. Risk Analysts in Irving, TX. * Establish, maintain, and revise underwriting strategies by conducting statistical and other data mining analyses on data ...

Sr. Risk Analyst

Las Vegas, NV · On-site

$76K - $104K/yr

Responsible for loading and reconciling risk information/data into specific systems used to provide reports and statistics to provide analysis for the Sr Risk Management leaders. Maintain the ...

Job Summary A Senior Risk Analyst (SRA) analyzes data and documentation to assess risks, reviews current processes and controls, and recommends improvements to enhance efficiency and reduce risk. The ...

Job Summary A Senior Risk Analyst (SRA) analyzes data and documentation to assess risks, reviews current processes and controls, and recommends improvements to enhance efficiency and reduce risk. The ...

Job Summary A Senior Risk Analyst (SRA) analyzes data and documentation to assess risks, reviews current processes and controls, and recommends improvements to enhance efficiency and reduce risk. The ...

The Chubb Enterprise Risk Unit is seeking a motivated and creative applicant to fill the position of Senior Risk Analyst.This position is with the Global Enterprise Risk Management group reporting to ...

Sr. Risk Analyst

Charlotte, NC · On-site

$76K - $104K/yr

Responsible for loading and reconciling risk information/data into specific systems used to provide reports and statistics to provide analysis for the Sr Risk Management leaders. Maintain the ...

Sr. Risk Analyst

Minneapolis, MN · On-site

$76K - $104K/yr

Responsible for loading and reconciling risk information/data into specific systems used to provide reports and statistics to provide analysis for the Sr Risk Management leaders. Maintain the ...

Senior Risk Analyst

$85K - $120K/yr

Reporting to the Director of Risk Strategy, this team member utilizes cash flow, application, and bureau data to provide analysis across various aspects of the customer life cycle including ...

Senior Risk Analyst

Hartford, CT · On-site

$130K - $150K/yr

Collaborate with the Hedge Trading Desk to explore risk return profiles and trading analytics * Partner with the Investment Management, ALM, Treasury, Finance and Actuarial teams to assess impact of ...

Sr Risk Analyst

Rockville, MD · On-site

$147K/yr

The ideal candidate will be able to demonstrate the following: 1. Knowledge of principles, theories, and applied practices of risk analysis. Specific expertise and experience in applying the theories ...

Sr Risk Analyst

Atlanta, GA · On-site

$147K/yr

The ideal candidate will be able to demonstrate the following: 1. Knowledge of principles, theories, and applied practices of risk analysis. Specific expertise and experience in applying the theories ...

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Sr Risk Analyst information

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$53.5K

$109.8K

$142.5K

How much do sr risk analyst jobs pay per year?

As of Jun 8, 2026, the average yearly pay for sr risk analyst in the United States is $109,846.00, according to ZipRecruiter salary data. Most workers in this role earn between $90,500.00 and $137,000.00 per year, depending on experience, location, and employer.

What does a Sr Risk Analyst do?

A Sr Risk Analyst is responsible for identifying, assessing, and mitigating risks that could impact an organization's operations or financial performance. They analyze data, create risk models, and provide recommendations to help companies make informed decisions and maintain compliance with regulations. Senior Risk Analysts often work closely with management and various departments to implement risk management strategies and ensure the company’s risk exposure is within acceptable limits.

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

To thrive as a Sr Risk Analyst, you need strong analytical skills, experience in risk assessment methodologies, and a background in finance, economics, or a related field, often supported by relevant certifications such as FRM or CFA. Proficiency in data analysis tools like Excel, SQL, SAS, or Python, as well as risk management software, is typically required. Excellent communication, critical thinking, and problem-solving skills help you convey risk insights and collaborate effectively with stakeholders. These competencies enable accurate risk identification and mitigation, supporting sound decision-making and regulatory compliance.

How does a Sr Risk Analyst typically collaborate with other departments to manage enterprise risks?

As a Sr Risk Analyst, collaboration with various departments—such as compliance, audit, finance, and operations—is essential to identify, assess, and mitigate organizational risks. You will often facilitate risk workshops, communicate findings to department heads, and provide guidance on risk mitigation strategies. Regular cross-functional meetings and reporting help ensure risks are understood and addressed at all levels, making strong communication and relationship-building skills vital for success in this role.

What is the difference between Sr Risk Analyst vs Risk Analyst?

AspectSr Risk AnalystRisk Analyst
Required CredentialsBachelor's degree, relevant certifications (e.g., FRM, CRM), 3+ years experienceBachelor's degree, certifications optional, 1-3 years experience
Work EnvironmentFinancial institutions, insurance companies, corporate risk departmentsFinancial firms, consulting agencies, insurance companies
Employer & Industry UsageUsed in larger organizations with complex risk management needsCommon in smaller firms or entry-level roles

The main difference between a Sr Risk Analyst and a Risk Analyst lies in experience, responsibilities, and seniority. A Sr Risk Analyst typically has more years of experience, advanced certifications, and handles more complex risk assessments. They often lead projects and mentor junior staff, whereas Risk Analysts focus on data collection, analysis, and supporting risk management processes. Both roles are vital in risk management teams, but the senior role involves greater responsibility and strategic input.

More about Sr Risk Analyst jobs
What cities are hiring for Sr Risk Analyst jobs? Cities with the most Sr Risk Analyst job openings:
What states have the most Sr Risk Analyst jobs? States with the most job openings for Sr Risk Analyst jobs include:
What job categories do people searching Sr Risk Analyst jobs look for? The top searched job categories for Sr Risk Analyst jobs are:

Sr. Risk Analyst

Alpha Generation

Houston, TX

Full-time

Posted 5 days ago


Job description

Senior Analyst, Risk - Houston, Texas

Company Information:

Alpha Generation manages and operates power generation facilities that are well positioned to provide reliable, secure, safe, and sustainable power to meet increasing demand for electricity. Our diverse portfolio of assets is owned by ArcLight Capital Partners, a leading middle-market, value-added infrastructure investment firm that owns assets across the power, renewables, strategic gas, battery storage, and transformative infrastructure sectors. ArcLight has invested over $28 billion in equity capital across 125 transactions totaling approximately $80 billion in enterprise value.

ArcLight has assembled a best-in-class leadership team at AlphaGen to manage over 14,000 megawatts of power infrastructure across four RTO markets (PJM, NYISO, ISONE, and CAISO). This highly experienced senior management team has a proven track record of strategic, operational, and commercial success and is focused on value creation while managing risk.

AlphaGen oversees one of the largest domestic, independent power portfolios, with nearly $2 billion in annual revenue.

Position Overview:
Reporting to the Director, Risk Management, the Sr. Analyst, Risk will play a critical role in providing analysis, evaluating and communicating risk exposures associated with portfolio assets, asset operations, and trading activities. This member of the FP&A team will not only play a key role in identifying and quantifying financial risk, but they will also have regular interaction with executive leaders as the role (Sr. Analyst, Risk) assumes control of the preparation of weekly Risk Committee materials. Additionally, this professional will serve as the primary risk liaison for ETRM support, specifically managing the risk team’s involvement with the PCI platform.
Role and Key Responsibilities:

  • Perform daily risk analysis and valuation of trading positions across power markets/ISOs.
  • Calculate and monitor Value-at-Risk (VaR), mark-to-market (MtM), and stress testing.
  • Collaborate with the Commercial Team, (Specifically the Real Time Desk and Hedging/Optimization) to validate strategies, ensure adherence to risk limits, and assess evolving market risks.
  • Support monitoring of any changes in forward positions and hedges, alerting the Director, Risk Management and providing consultation to the FP&A organization on budget projections.
  • Research P&L drivers and any variance from anticipated performance.
  • Collaborate with the Director, Risk Management to ensure compliance with the hedge plans, reporting any violations of the hedge policy to the Risk Management Committee.
  • Collaborate with front-office, back-office, and IT teams to maintain and improve risk data flows and reporting accuracy. Specifically, working closely with middle office and settlements to ensure trade capture and valuation consistency.
  • Support and provide model development for pricing, valuation, and risk metrics using historical and forecast market data.
  • Manage enhancements, configurations, and user support for the PCI ETRM system, ensuring data integrity and operational continuity.
  • Collaborate with front-office, back-office, and IT teams to maintain and improve risk data flows and reporting accuracy.
  • Lead the development and delivery of weekly Risk Committee reports, including portfolio risk exposure, mark-to-market analysis, P&L attribution, and limit monitoring.
  • Monitor market movements and fundamental drivers to provide timely insights into potential risks and impacts on asset positions.
  • Support risk model validation, scenario analysis, and stress testing for the portfolio.
  • Assist in audit, compliance, and regulatory reporting related to trading and market risk activities.

Professional and Educational Requirements:

  • Bachelor’s degree in finance, economics, engineering, mathematics, computer science or a related field. An advanced degree, and pertinent advanced certifications, are a plus.
  • 5+ years of experience in risk analytics or market operations within the power sector or energy trading.
  • Proficient in ETRM systems, preferably PCI, with a strong understanding of trade capture, valuation, and risk reporting functionalities.
  • Solid grasp of U.S. ISO markets (PJM, NYISO, ISO-NE) and associated power trading and hedging strategies.
  • Robust background with data management and analysis, market analysis, advanced risk management, trading theory and practice, and compliance.
  • Advanced Excel and data analysis skills, SQL, and Python. VAR, Power BI, Tableau, and R, would be considered a plus.
  • Strong written and verbal communication skills with the ability to present complex data to senior leadership.
  • Detail-oriented and self-motivated, possessing the ability to manage multiple priorities in a fast-paced environment.
  • Operates with ease in a trading environment which requires balancing shifting priorities at a moment’s notice and has an innate desire to expand their professional acumen in collaborative environment.

AlphaGen is an equal opportunity employer.


Disclaimer: The salary, other compensation, and benefits information is accurate as of the date of this posting. The Company reserves the right to modify this information at any time, subject to applicable laws.