1

Vice President Commodity Risk Management Jobs in Miami, FL

A leading investment management firm is seeking a Vice President of Finance to oversee the financial operations, risk management, and strategic planning of its portfolio. This role requires deep ...

Director, Risk Management

Miami, FL · On-site

$140 - $210/hr

Reporting to the Assistant Vice President for Risk Management, the Director leads the day to day management of the department, Represents the Risk Management Department and acts on behalf of the AVP ...

VP of Cybersecurity

Doral, FL · On-site

$145K - $181K/yr

The VP of Cybersecurity leads the teams that identify, protect, detect, respond to, and recover ... Operate enterprise cyber risk management: risk assessments, threat modeling, control design, and ...

Global Head of Indirect Tax (VP) Location: Flexible (U.S.) Lead the Future of Global Indirect Tax ... Your work will directly impact risk management, regulatory compliance, operational efficiency, and ...

VP of Finance

Fort Lauderdale, FL · On-site

$180 - $215/hr

The VP of Finance will partner closely with the executive team to strengthen financial planning ... risk management, and capital allocation * Build internal processes to track financial performance ...

VP of Finance

Fort Lauderdale, FL · On-site

$180 - $215/hr

The VP of Finance will partner closely with the executive team to strengthen financial planning ... risk management, and capital allocation Build internal processes to track financial performance ...

The VP of Finance will partner closely with the executive team to strengthen financial planning ... risk management, and capital allocation * Build internal processes to track financial performance ...

... risk management strategies. * Champion diversity, equity, inclusion, and workplace culture ... a Vice President or senior executive HR leadership role. * Industry experience in aviation ...

next page

Showing results 1-20

Vice President Commodity Risk Management information

See Miami, FL salary details

$34.9K

$93.8K

$153K

How much do vice president commodity risk management jobs pay per year?

As of Aug 10, 2026, the average yearly pay for vice president commodity risk management in Miami, FL is $93,771.00, according to ZipRecruiter salary data. Most workers in this role earn between $76,500.00 and $109,000.00 per year, depending on experience, location, and employer.
What are the most commonly searched types of Commodity Risk Management jobs in Miami, FL? The most popular types of Commodity Risk Management jobs in Miami, FL are:
What are popular job titles related to Vice President Commodity Risk Management jobs in Miami, FL? For Vice President Commodity Risk Management jobs in Miami, FL, the most frequently searched job titles are:
What job categories do people searching Vice President Commodity Risk Management jobs in Miami, FL look for? The top searched job categories for Vice President Commodity Risk Management jobs in Miami, FL are:
What cities near Miami, FL are hiring for Vice President Commodity Risk Management jobs? Cities near Miami, FL with the most Vice President Commodity Risk Management job openings:
Infographic showing various Vice President Commodity Risk Management job openings in Miami, FL as of August 2026, with employment types broken down into 96% Full Time, 2% Part Time, and 2% Contract. Highlights an 87% In-person, 4% Hybrid, and 9% Remote job distribution, with an average salary of $93,771 per year, or $45.1 per hour.

Fiduciary Risk Manager, VP

ReKruiting Advisors LLC.

Miami, FL • On-site

$120 - $150/hr

Other

Posted 5 days ago


Job description

Fiduciary Risk Manager, VP

The Risk Manager controls market, liquidity, and portfolio compliance risks of IUAM funds and products, provides operational and risk due diligence for new third-party target funds, and assists the Asset Management on issues relating to improvements in processes aimed at lowering fiduciary risk and enhancing controls of the investment process.

Responsibilities

  • Assess market, liquidity, and portfolio compliance risk for all IUAM funds and products
  • Utilize current systems and propose new solutions to minimize risks
  • Interpret feedback from headquarters on risk management and portfolio compliance issues
  • Propose methodologies, budgets, limits, and solutions related to identification, evaluation, measurement, management and control of market, liquidity, and portfolio compliance
  • Generate and compile reports and presentations related to risk
  • Provide operational and risk due diligence for new mutual funds, hedge funds and private equity funds
  • Monitor, analyze, and review trading and portfolio activity to ensure continuous compliance with client, regulatory, and internal business guidelines, and rules
  • Conduct independent testing for potential risk, regulatory, and compliance issues; produce appropriate reporting to portfolio management and senior management
  • Support the development, implementation, and ongoing maintenance of portfolio management rules to ensure continuous compliance of all accounts and funds
  • Ensure the following activities are performed and any breaches analyzed and logged: pricing methodology of assets in IUAM funds and products, investment compliance, analysis of performance attribution and performance fee, analysis of market, liquidity, and portfolio compliance risks of funds and products
  • Compliance with Anti-Money Laundering and Bank Secrecy Act related principles, laws, rules and regulations, as well as related policies and procedures.

Qualifications

  • Fluency in Portuguese is desirable
  • Bachelor’s degree in business administration or related field.
  • Minimum 5 years of experience in Risk Management with demonstrated success preferably in the financial services industry
  • Solid knowledge of MS Office and Windows-based computer applications
  • In-depth knowledge of equities and fixed income instruments, fund of funds, derivatives, and pricing models
  • In-depth knowledge of Portfolio Management and Investment Products, especially hedge funds, private equities, and mutual funds
  • Experience with both U.S. and non-U.S. investment fund regulations (i.e., ‘40 Act and UCITs rules)
  • Strong leadership skills
  • Demonstrated ability to work cooperatively with multiple constituencies in diverse geographical jurisdictions
  • Superior oral and written communications skills
  • Demonstrated ability to manage multiple projects simultaneously with a high degree of efficiency
  • Strong problem-solving skills with the ability to exercise mature judgment
  • Fluency in English
#J-18808-Ljbffr