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Vp Risk Jobs in Texas (NOW HIRING)

Trinity Industries is seeking a Vice President, Risk & Portfolio Investment for our headquarters office in Dallas, TX . This a leadership position responsible for optimizing Trinity's asset portfolio ...

Vice President, Valuation Job Overview: We are seeking a Vice President, Valuation to join our ... mitigating risk. Stay updated on industry trends, incorporating best practices into valuation ...

Vice President, Cyber Security

Austin, TX · On-site

$230K - $250K/yr

VP, Cybersecurity Riot's vision is to be the world's most trusted platform for powering and ... Optimize the allocation of the information security budget and vendor risk programs to align ...

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Vp Risk information

See Texas salary details

$40.5K

$146.8K

$258.5K

How much do vp risk jobs pay per year?

As of Jun 29, 2026, the average yearly pay for vp risk in Texas is $146,765.00, according to ZipRecruiter salary data. Most workers in this role earn between $107,100.00 and $177,000.00 per year, depending on experience, location, and employer.

What are VP Risk?

A VP Risk, or Vice President of Risk, is a senior executive responsible for overseeing an organization's risk management strategies and policies. They identify, assess, and mitigate risks that could impact the company's financial performance, reputation, or operations. VP Risk professionals often lead teams that analyze market, operational, credit, and regulatory risks, and they work closely with other executives to ensure the company's objectives are achieved within acceptable risk parameters.

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

To thrive as a VP of Risk, you need deep expertise in risk management, financial analysis, regulatory compliance, and a strong educational background—often including an advanced degree in finance, economics, or a related field. Familiarity with risk assessment tools, enterprise risk management (ERM) systems, and certifications like FRM or CFA are commonly required. Exceptional leadership, strategic thinking, and communication skills help you influence organizational risk culture and drive cross-functional initiatives. These abilities are critical for proactively identifying, assessing, and mitigating risks to ensure organizational stability and regulatory adherence.

What is the difference between Vp Risk vs Risk Manager?

AspectVp RiskRisk Manager
Required CredentialsBachelor's degree, certifications like FRM or CRM often preferredBachelor's degree, certifications like FRM or CRM often preferred
Work EnvironmentStrategic leadership in financial institutions, corporate risk departmentsOperational risk assessment, implementing risk mitigation strategies
Employer & Industry UsageFinancial services, banking, insurance, large corporationsFinancial institutions, corporations, consulting firms

Both roles focus on risk management but Vp Risk typically involves strategic oversight and leadership, while Risk Managers handle day-to-day risk assessment and mitigation. The Vp Risk often supervises teams and influences company-wide policies, whereas Risk Managers implement these policies at operational levels.

What are some of the key challenges a VP of Risk typically faces when aligning risk management strategies with business objectives?

A VP of Risk often faces the challenge of balancing the organization's risk appetite with its growth goals, ensuring that risk mitigation does not stifle innovation or profitability. They must work closely with executive leadership across departments to integrate risk considerations into strategic planning, while also staying ahead of emerging risks such as regulatory changes or cybersecurity threats. Effective communication and collaboration with both technical and non-technical teams are essential to create a risk-aware culture and to ensure that policies are understood and implemented organization-wide.
What are the most commonly searched types of Risk jobs in Texas? The most popular types of Risk jobs in Texas are:
What cities in Texas are hiring for Vp Risk jobs? Cities in Texas with the most Vp Risk job openings:
VP, Risk & Portfolio Investment

VP, Risk & Portfolio Investment

TrinityRail

Dallas, TX • On-site

Full-time

Posted 4 days ago


TrinityRail rating

6.4

Company rating: 6.4 out of 10

Based on 5 frontline employees who took The Breakroom Quiz

118th of 144 rated vehicle equipment hire


Job description

Trinity Industries is seeking a Vice President, Risk & Portfolio Investment for our headquarters office in Dallas, TX. This a leadership position responsible for optimizing Trinity's asset portfolio to maximize short-term and long-term risk-adjusted investment returns. This role ensures that investment strategy aligns with enterprise strategy and that asset underwriting criteria are sound. The VP leads the development of short-term and long-term investment plans, recommends industry and railcar type concentrations, and optimizes the overall composition of the Trinity fleet. The role also identifies opportunities to harvest gains and execute bespoke railcar transactions.
What You'll Do:
  • Develop and maintain Trinity's investment strategy in alignment with enterprise strategic objectives.
  • Establish and manage parameters for new investments and divestitures by railcar type and market served.
  • Oversee asset management strategy and activities, including short-term and long-term fleet portfolio optimization, in close partnership with Lease Management and Third-Party Lessor teams within the Customer Division.
  • Maintain a clear understanding of customer creditworthiness and determine appropriate credit enhancements to mitigate investment risk.
  • Support and execute M&A strategy in alignment with corporate strategy, Trinity business units, and platform optimization parameters, as applicable.
  • Lead efforts related to asset (fleet) composition, asset underwriting, and secondary market performance.
  • Drive performance outcomes related to portfolio internal rate of return (IRR), return on equity, transact-and-earn profitability, and credit loss management.
Key Decision Rights:
  • Investment strategy design and alignment with enterprise objectives
  • Asset allocation, underwriting standards, and divestiture decisions
  • Portfolio optimization across railcar types, industries, and markets

Qualifications
What You'll Need:
  • Bachelor's degree or equivalent required/MBA preferred
  • Minimum of 10+ years' management related experience in Finance and Capital Markets required.
  • Proven experience leading professional teams .
  • Strong capabilities in finance, strategy, and quantitative analytics.
  • Significant asset management experience, preferably within the rail industry or advanced manufacturing environments.
  • Deep knowledge of Trinity's assets and fleet characteristics.
  • Demonstrated ability to connect short-term and long-term macroeconomic trends to investment strategy and portfolio decisions.