The Market Risk Team within Financial Risk Management (FRM) oversees risk taking activities of Treasury focusing specifically on Interest Rate Risk. The team facilitates effective use of risk ...
The Market Risk Team within Financial Risk Management (FRM) oversees risk taking activities of Treasury focusing specifically on Interest Rate Risk. The team facilitates effective use of risk ...
Experience in financial Services JPMorganChase, one of the oldest financial institutions, offers ... Risk Management helps the firm understand, manage and anticipate risks in a constantly changing ...
Experience in financial Services JPMorganChase, one of the oldest financial institutions, offers ... Risk Management helps the firm understand, manage and anticipate risks in a constantly changing ...
Experience in financial Services JPMorganChase, one of the oldest financial institutions, offers ... Risk Management helps the firm understand, manage and anticipate risks in a constantly changing ...
Experience in financial Services JPMorganChase, one of the oldest financial institutions, offers ... Risk Management helps the firm understand, manage and anticipate risks in a constantly changing ...
Experience in financial Services About Us JPMorganChase, one of the oldest financial institutions ... Risk Management helps the firm understand, manage and anticipate risks in a constantly changing ...
Experience in financial Services About Us JPMorganChase, one of the oldest financial institutions ... Risk Management helps the firm understand, manage and anticipate risks in a constantly changing ...
Drive integration across risk, tax, finance, and IT functions to reduce cost and improve coverage. * Collaborate with national and regional leadership, managing complex stakeholder environments ...
Drive integration across risk, tax, finance, and IT functions to reduce cost and improve coverage. * Collaborate with national and regional leadership, managing complex stakeholder environments ...
Financial Manager - Self Perform Operations
$85K - $112K/yr
... and risk management ensure adherence to company policies and procedures and generally accepted accounting principles. Reports to: Senior Financial Manager, Operational Finance or VP, Regional ...
Financial Manager - Self Perform Operations
$85K - $112K/yr
... and risk management ensure adherence to company policies and procedures and generally accepted accounting principles. Reports to: Senior Financial Manager, Operational Finance or VP, Regional ...
Financial Manager - Self Perform Operations
Columbus, OH · On-site
$85K - $112K/yr
... and risk management ensure adherence to company policies and procedures and generally accepted accounting principles. Reports to: Senior Financial Manager, Operational Finance or VP, Regional ...
Financial Manager - Self Perform Operations
Columbus, OH · On-site
$85K - $112K/yr
... and risk management ensure adherence to company policies and procedures and generally accepted accounting principles. Reports to: Senior Financial Manager, Operational Finance or VP, Regional ...
Management Professional-Risk Management-Capital Improvement
West Jefferson, OH · On-site
$75K - $137K/yr
... Financial Services team. * Manage consistency with application of PMP processes and plans and ... Review project risk registers across the portfolio and support their development, updating, and ...
Management Professional-Risk Management-Capital Improvement
West Jefferson, OH · On-site
$75K - $137K/yr
... Financial Services team. * Manage consistency with application of PMP processes and plans and ... Review project risk registers across the portfolio and support their development, updating, and ...
Senior Financial Analyst - First Equipment Company
Columbus, OH · On-site
$82K - $102K/yr
Ensure rigorous and ethical standards of compliance with external requirements (GAAP, IAS, FARS, ERISA and IRS) and internal company policies. * Assist Financial Manager on financial risk management ...
Senior Financial Analyst - First Equipment Company
Columbus, OH · On-site
$82K - $102K/yr
Ensure rigorous and ethical standards of compliance with external requirements (GAAP, IAS, FARS, ERISA and IRS) and internal company policies. * Assist Financial Manager on financial risk management ...
Chase is a leading financial services firm, helping nearly half of America's households and small ... Risk Management helps the firm understand, manage and anticipate risks in a constantly changing ...
Chase is a leading financial services firm, helping nearly half of America's households and small ... Risk Management helps the firm understand, manage and anticipate risks in a constantly changing ...
About Us Chase is a leading financial services firm, helping nearly half of America's households ... Risk Management helps the firm understand, manage and anticipate risks in a constantly changing ...
About Us Chase is a leading financial services firm, helping nearly half of America's households ... Risk Management helps the firm understand, manage and anticipate risks in a constantly changing ...
As an Risk Management - Multi Asset Investment Risk Manager - Vice President in Wealth Management ... Bachelor's degree in Finance or a related field, or equivalent practical experience * 7+ years of ...
As an Risk Management - Multi Asset Investment Risk Manager - Vice President in Wealth Management ... Bachelor's degree in Finance or a related field, or equivalent practical experience * 7+ years of ...
Chase is a leading financial services firm, helping nearly half of America's households and small ... Risk Management helps the firm understand, manage and anticipate risks in a constantly changing ...
Chase is a leading financial services firm, helping nearly half of America's households and small ... Risk Management helps the firm understand, manage and anticipate risks in a constantly changing ...
As an Risk Management - Multi Asset Investment Risk Manager - Vice President in Wealth Management ... Bachelor's degree in Finance or a related field, or equivalent practical experience * 7+ years of ...
As an Risk Management - Multi Asset Investment Risk Manager - Vice President in Wealth Management ... Bachelor's degree in Finance or a related field, or equivalent practical experience * 7+ years of ...
As an Risk Management - Multi Asset Investment Risk Manager - Vice President in Wealth Management ... Bachelor's degree in Finance or a related field, or equivalent practical experience * 7+ years of ...
As an Risk Management - Multi Asset Investment Risk Manager - Vice President in Wealth Management ... Bachelor's degree in Finance or a related field, or equivalent practical experience * 7+ years of ...
Bachelor's degree or equivalent experience required * 7+ years of financial service experience in controls, audit, quality assurance, risk management, or compliance * Proficient knowledge of control ...
Bachelor's degree or equivalent experience required * 7+ years of financial service experience in controls, audit, quality assurance, risk management, or compliance * Proficient knowledge of control ...
Risk Management - Home Lending Risk Control Manager - Vice President
Columbus, OH · On-site
$118K - $190K/yr
Bachelor's degree or equivalent experience required * 7+ years of financial service experience in controls, audit, quality assurance, risk management, or compliance * Proficient knowledge of control ...
Risk Management - Home Lending Risk Control Manager - Vice President
Columbus, OH · On-site
$118K - $190K/yr
Bachelor's degree or equivalent experience required * 7+ years of financial service experience in controls, audit, quality assurance, risk management, or compliance * Proficient knowledge of control ...
Minimum 5+ years of demonstrated achievement in risk management, financial or portfolio analysis. * Strong written and verbal communication skills and ability to interact and form strong working ...
Minimum 5+ years of demonstrated achievement in risk management, financial or portfolio analysis. * Strong written and verbal communication skills and ability to interact and form strong working ...
Minimum 5+ years of demonstrated achievement in risk management, financial or portfolio analysis. * Strong written and verbal communication skills and ability to interact and form strong working ...
Minimum 5+ years of demonstrated achievement in risk management, financial or portfolio analysis. * Strong written and verbal communication skills and ability to interact and form strong working ...
Minimum 5+ years of demonstrated achievement in risk management, financial or portfolio analysis. * Strong written and verbal communication skills and ability to interact and form strong working ...
Minimum 5+ years of demonstrated achievement in risk management, financial or portfolio analysis. * Strong written and verbal communication skills and ability to interact and form strong working ...
Financial Risk Management information
See Columbus, OH salary details
$49.8K - $60.2K
4% of jobs
$60.2K - $70.7K
6% of jobs
$70.7K - $81.1K
11% of jobs
$85K is the 25th percentile. Wages below this are outliers.
$81.1K - $91.5K
11% of jobs
The median wage is $99.8K / yr.
$91.5K - $101.9K
23% of jobs
$101.9K - $112.3K
13% of jobs
$119.2K is the 75th percentile. Wages above this are outliers.
$112.3K - $122.7K
12% of jobs
$122.7K - $133.2K
8% of jobs
$133.2K - $143.6K
6% of jobs
$143.6K - $154K
4% of jobs
$154K - $164.4K
2% of jobs
$49.8K
$107.9K
$164.4K
How much do financial risk management jobs pay per year?
What is a Financial Risk Management job?
A Financial Risk Management job involves identifying, assessing, and mitigating risks that could impact a company's financial health. Professionals in this field analyze market trends, credit risks, and operational risks to develop strategies that protect assets and profitability. They use financial modeling, risk assessment tools, and regulatory guidelines to ensure compliance and minimize potential losses. Common roles include risk analysts, credit risk managers, and compliance officers in industries like banking, insurance, and investment firms.
How much does a risk manager get paid?
What are the typical career advancement opportunities for someone in Financial Risk Management?
Professionals in Financial Risk Management often start as analysts or associates and can progress to roles such as Risk Manager, Senior Risk Analyst, or Director of Risk Management with experience and proven expertise. Career advancement typically involves taking on greater responsibility for complex risk analysis, decision-making, and leading teams or projects. Earning specialized certifications and gaining exposure to different risk disciplines (such as market risk, credit risk, or operational risk) can also accelerate career growth. Many organizations provide opportunities for cross-functional collaboration, which helps develop leadership and strategic planning skills important for moving into executive-level positions.
What are the key skills and qualifications needed to thrive in the Financial Risk Management position, and why are they important?
To thrive in Financial Risk Management, you need a strong analytical background, proficiency in financial modeling, and typically a degree in finance, economics, or a related field. Familiarity with risk assessment software, data analytics tools like Excel or SQL, and certifications such as FRM (Financial Risk Manager) or CFA are highly valued. Excellent problem-solving skills, attention to detail, and strong communication abilities help professionals effectively present risks and collaborate with stakeholders. These competencies are crucial for accurately identifying, analyzing, and mitigating financial risks to support an organization's financial health.
Is risk management high paying?
What is a financial risk management job?
Asset and Liability Management Risk Manager - Financial Risk Management
Western Alliance BankColumbus, OH
$159K - $197K/yr
Full-time
Medical, Dental, Retirement
Posted 11 days ago
Job description
Job Title:
Asset and Liability Management Risk Manager - Financial Risk ManagementLocation:
CityScapeWhat you'll do:
The Market Risk Team within Financial Risk Management (FRM) oversees risk taking activities of Treasury focusing specifically on Interest Rate Risk. The team facilitates effective use of risk appetite to monitor and assess risk-taking activities. The group also plays a key role in keeping senior management appraised of the Company's market risk profile. This is achieved by using risk measures, proactive application of expert judgement, and limit setting. Activities are centered on risk management and analysis, transparency and escalation of risk, supervision, and overall process improvement.You'll provide independent risk oversight, challenge, and assessment of interest rate risk exposure with a strong emphasis on quantitative analysis, use of management judgement, and data validation using quantitative techniques
Review scenario design, model configurations, and results produced in the Quantitative Risk Management tool (QRM) (e.g., Economic Value of Equity/Earnings at Risk, forecast runs, Funds Transfer Pricing linkages); independently replicate or sensitivitytest key assumptions using quantitative techniques where direct QRM instance access is not available.
Develop robust processes and tools to validate key financial assumptions, such as deposit behaviors, prepayment trends, and pricing strategies, and ensure QRM results are accurately reconciled with source systems and established policy limits.
Lead structured challenge sessions and memorialize outcomes in memos/minutes consistent with FRM governance and practices.
Produce Second Line of Defense Asset Liability Management/Interest Rate Risk dashboards and narratives for the Asset Liability Committee/Financial Risk Management governance, highlighting drivers of risk and emerging issues.
Assist in developing and enhancing the market risk management framework, including the design and implementation of risk metrics, reporting processes, and limit structures
What you'll need:
5+ years in Asset Liability Management/Interest Rate Risk in the Banking Book, with at least 2+ years in Second Line of Defense/Model Risk Management or other independent oversight roles.
Bachelor's degree in related field required.
Handson QRM proficiency (Asset Liability Management/Interest Rate Risk modules; comfort reading QRM output structures, assumptions, and libraries). Ability to replicate Economic Value of Equity/Earnings at Risk and Net Interest Income sensitivities via Python/R/Structured Query Language when needed.
Advanced knowledge and experience with tools like Python, Structured Query Language, or R for data analysis and quality checks is a plus, along with familiarity with version control and an interest in process improvement.
Advanced knowledge of Asset Liability Management concepts & policy (betas, decays, prepay, deposit segmentation, Funds Transfer Pricing, hedging), and Interest Rate Risk/Asset Liability Management governance. Knowledge of ALM concepts & policy (betas, decay rates, prepay, deposit segmentation, FTP, hedging), and IRR/ALM governance.
Professional certification such as Financial Risk Manager (FRM), Professional Risk Manager (PRM), or Chartered Financial Analyst (CFA) preferred.
Advanced speaking and writing communication skills.
Benefits you'll love:
We offer all the important things you'd want - like competitive salaries, an ownership stake in the company, medical and dental insurance, time off, a great 401k matching program, tuition assistance program, an employee volunteer program, and a wellness program. In addition, you'll have the opportunity to bolster your business knowledge, learning the ins and outs of how successful companies operate and manage their finances, giving you invaluable hands-on experience to help grow your career!
About the company:
Western Alliance Bank, Member FDIC, is a wholly owned subsidiary of Western Alliance Bancorporation. Serving clients nationwide, Western Alliance Bank includes six legacy bank brands - Alliance Association Bank, Alliance Bank of Arizona, Bank of Nevada, Bridge Bank, First Independent Bank and Torrey Pines Bank - that remain part of the company's heritage, as well as AmeriHome Mortgage, a Western Alliance Bank Company.
Western Alliance Bancorporation is committed to equal employment and will consider all qualified applicants without regard to race, sex, color, religion, age, nation origin, marital status, disability, protected veteran status, sexual orientation, gender identity or genetic information. Western Alliance Bancorporation is committed to working with and providing reasonable accommodations for individuals with disabilities. If you are an individual with a disability and require a reasonable accommodation to complete any part of the application process and/or need an alternative method of applying, please email HR@westernalliancebank.com or call 602-386-2488. When contacting us, please provide your contact information and state the nature of your accessibility issue. We will only respond to inquiries concerning requests that involve a reasonable accommodation in the application process.
Western Alliance Bancorporation