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Derivative Analyst Jobs Near Me

Support client activity and profitability analytics; translate trends into coverage priorities and ... Working knowledge of credit products (e.g., bonds, derivatives, indices, single-name CDS, ETFs ...

New

Quantitative Analyst

London, OH · On-site

$120 - $180/hr

Excellent analytical skills and a structured, logical approach to complex problem-solving. * Strong ... Knowledge of derivatives pricing models and stochastic processes. * A master's degree or higher in ...

New

Deep knowledge of limits, derivatives of polynomial and exponential functions, marginal analysis, optimization of profit and cost functions, integration for total cost and revenue, area under curves ...

CFA - Level 1 Tutor

Columbus, OH · Remote

$18 - $40/hr

Guides students through computing financial ratios, applying quantitative methods, analyzing fixed income and equity valuation, understanding derivative pricing, and applying the Standards of ...

Skilled at breaking down thermodynamic derivations, quantum mechanical calculations, and kinetic data analysis. Guides students through solving heat capacity problems, applying Boltzmann ...

Biostatistician

Columbus, OH · Remote

$60 - $65/hr

... p-values, analysis populations, and missing data handling in alignment with the statistical ... Establish defensible ground truth for each evaluation task, documenting the derivation process to ...

... p-values, analysis populations, and missing data handling in alignment with the statistical ... Establish defensible ground truth for each evaluation task, documenting the derivation process to ...

Solve advanced physics problems from your specialization, delivering rigorous, well-documented derivations and analyses. * Produce technically precise, clearly written solutions, detailing all ...

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Derivative Analyst information

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$73.3K

$130K

How much do derivative analyst jobs pay per year?

As of Aug 21, 2026, the average yearly pay for derivative analyst in the United States is $73,261.00, according to ZipRecruiter salary data. Most workers in this role earn between $52,500.00 and $87,000.00 per year, depending on experience, location, and employer.

What cities are hiring for Derivative Analyst jobs?

Cities with the most Derivative Analyst job openings:

What states have the most Derivative Analyst jobs?

States with the most job openings for Derivative Analyst jobs include:

What are the most commonly searched types of Derivative Analyst jobs?

The most popular types of Derivative Analyst jobs are:

A map of the United States highlighting the number of Derivative Analyst job openings by state according to ZipRecruiter. The image is accompanied by a detailed chart listing the number of Derivative Analyst job openings in each state, with California having the most at 2 and Hawaii the least at 0.

Credit Risk Management and Analytics Vice President

JPMorgan Chase & Co.

Columbus, OH • On-site

$150 - $210/hr

Other

Posted 17 days ago


JPMorgan Chase & Co. rating

8.0

Company rating: 8.0 out of 10

Based on 495 frontline employees who took The Breakroom Quiz

71st of 171 rated banks


Job description

Help keep JPMorganChase strong and resilient by anticipating emerging risks and turning market complexity into clear decisions. In this role, you will lead work at the intersection of front-office activity and independent risk oversight. You will guide how we set collateral, evaluate stress, and monitor exposure through market cycles. Join a global team that challenges assumptions, applies rigorous analytics, and focuses on responsible growth. Your leadership will shape risk outcomes that matter to clients, businesses, and the firm.

Job summary

As a Credit Risk Measurement and Analytics Vice President in Credit Risk Measurement and Analytics, you lead market coverage and help us strengthen credit and market risk measurement across marketable-securities-backed lending, capital markets activity, and derivatives. You partner closely with teams across risk, lending and trading solutions, lending teams, investors, and finance to help ensure collateral frameworks, stress testing, reserves, and risk appetite measurement are robust, explainable, and timely. You work within a globally delegated coverage model spanning multiple regions, and you guide a culture of proactive, client-focused risk management aligned to high industry standards. You are comfortable with the fast pace of markets, and you help us turn ambiguity into practical frameworks, governance, and decisions.

Job responsibilities
  • Lead coverage for designated regions and product areas by guiding stakeholders on methodologies and their application
  • Execute lending value and margin requirement analyses for new or complex asset classes, deal structures, and strategies
  • Partner with quantitative modeling teams to review, assess, and recommend periodic lending value changes, and communicate outcomes to senior risk and business leaders
  • Interpret regulatory requirements and commitments, and incorporate them into governance and operating practices
  • Lead global capital markets surveillance by monitoring market dynamics, constructing scenarios, and interpreting event impacts
  • Produce oversight analytics and reporting to support risk monitoring, escalation, and decision-making forums
  • Lead product oversight for loans and derivatives secured by marketable securities by assessing collateral liquidity, market risk, client credit profiles, and client strategies
  • Lead event-driven risk reviews and present conclusions and recommendations to leadership and cross-functional forums
  • Lead market risk oversight by guiding limit monitoring and limit design for new initiatives
  • Lead review-and-challenge engagements for stress testing results, and manage required stress testing deliverables, including event-driven analyses
  • Support new business initiative reviews as a credit and/or market risk subject matter expert and guide enhancements to controls, documentation, and implementation
Required qualifications, capabilities, and skills
  • 6+ years of experience in an analytical, technical, trading, or research-oriented role in capital markets
  • Academic background or professional experience in financial mathematics, quantitative risk methodologies, or data science
  • Broad knowledge of financial products across capital markets
  • Practical experience using Python and data analytics packages in a professional environment
  • Practical experience using Microsoft Excel, PowerPoint, and Word
  • Demonstrated ability to communicate clearly with senior stakeholders through concise written and verbal updates
  • Demonstrated ability to explain technical capital markets concepts to non-technical audiences
  • Demonstrated ability to collaborate across teams and guide work through to completion
Preferred qualifications, capabilities and skills
  • Undergraduate degree required, concentrations in technical disciplines preferred; Graduate degree, or professional designations a plus
  • Professional experience in credit risk management or market risk management
  • Professional experience with derivatives or hedging strategies
  • Experience using business intelligence and data visualization tools (for example, Tableau)
  • Experience leading operational, analytics, reporting, or metric enhancements in a risk environment
  • Experience supporting global regulatory deliverables (for example, capital stress testing programs)
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