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79 Citizens Market Risk Analyst Jobs Hiring Near You

Senior Risk Analyst - Market Risk

Buffalo, NY · On-site

$103K - $171.60K/yr

Overview The Senior Risk Analyst - Market Risk is a strategic contributor within the second line of defense, supporting the Treasury Risk Management Oversight (TRMO) team, responsible for market risk ...

Overview The Senior Risk Analyst - Market Risk is a strategic contributor within the second line of defense, supporting the Treasury Risk Management Oversight (TRMO) team, responsible for market risk ...

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Citizens Jobs Information

What does a Market Risk Analyst do?

A Market Risk Analyst assesses financial risks that arise due to market fluctuations in interest rates, exchange rates, commodities, and equities. They analyze trading activities, develop risk models, and provide insights to help firms mitigate potential losses. Their role involves monitoring market conditions, stress testing portfolios, and ensuring compliance with risk regulations. Using statistical tools and financial models, they help organizations make informed investment and risk management decisions.

What are the key skills and qualifications needed to thrive in the Market Risk Analyst position, and why are they important?

To thrive as a Market Risk Analyst, you need a strong analytical background in finance, economics, or mathematics, often supported by a relevant degree. Familiarity with financial modeling software, statistical tools like Excel, VBA, Python, R, and certifications such as FRM or CFA are highly valued. Attention to detail, problem-solving abilities, and effective communication skills help analysts interpret data and explain risk assessments to stakeholders. These competencies are essential for accurately identifying, quantifying, and communicating risks to inform decision-making within financial organizations.

What are the typical day-to-day responsibilities of a Market Risk Analyst?

A Market Risk Analyst’s daily tasks often involve monitoring market movements, preparing risk reports, analyzing trading portfolios for potential exposures, and conducting stress tests or scenario analyses. They collaborate closely with traders, portfolio managers, and risk management teams to ensure that financial risks are properly identified and managed. Additionally, they may contribute to the development of risk models and participate in meetings to discuss emerging market trends or regulatory requirements. This fast-paced environment requires a combination of technical knowledge, timely analysis, and strong teamwork to support sound financial decision-making.

What do market risk analysts do?

Market risk analysts assess the potential financial losses a firm could face due to market fluctuations, such as changes in interest rates, currency exchange rates, or stock prices. They use statistical models, financial data, and risk management tools to identify, measure, and monitor these risks, helping organizations develop strategies to mitigate potential impacts.

What is it like to work at Citizens?

Citizens is a bank that values community involvement and customer-centricity, fostering a culture that prioritizes collaboration and mutual respect among employees.

The company's team structure is organized around customer segments, with employees working in agile teams to develop and implement innovative solutions. Citizens' work environment is designed to promote flexibility and work-life balance, with options for remote work and flexible schedules.

Working at Citizens may appeal to candidates who are passionate about community banking and are looking for a company that prioritizes customer relationships and employee development, offering opportunities for professional growth and advancement in a dynamic and supportive team environment.
What other companies are hiring for Market Risk Analyst jobs?
Infographic showing various Market Risk Analyst job openings at Citizens in the United States as of May 2026, with employment types broken down into 94% Full Time, and 6% Part Time. Highlights an 85% Physical, 13% Hybrid, and 2% Remote job distribution.

Contractor

Posted 19 days ago


Job description

  • Strong background in Capital Markets with hands on experience in Risk management Domain.
  • Strong understanding of Credit Risk, Counterparty Credit Risk / Market Risk from an IT perspective.
  • Strong experience in handling large transformation projects.
  • FRM/PRM/CQF certifications desirable.
  • Hands-on experience with any of the following programming languages like Python, PL/SQL, Tableau, Oracle, C++, Java.
  • Hands on in capturing the business requirements and map it to functional specifications.
  • Good academic background.
  • Product Owner /Product Management Certification is desirable.