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Market Risk Analyst Jobs in United States

  • Business Analyst / Program Manager (Market Risk, Credit Risk)

    ICONMA, LLC - United States
    ... Description: Client is looking for a Business Analyst / Program Manager to support the Regulatory Portfolio for the Counterparty Credit Risk Technology team. This is a multi ...
  • Risk Management -Market Risk - Average Daily Trading Volume Analytics - Analyst

    JPMorgan Chase - Jersey City, New Jersey
    ... ) Analytics - Analyst in our Market Risk ADTV Analytics team, you will be responsible for the development and ... datasets; Knowledge of financial instruments and risk management principles; Ability to ...
  • 2025 Truist Securities - Financial Risk Management (Capital Markets) - Analyst Program

    Truist - Atlanta, Georgia
    ... ** : Truist Securities’ Financial Risk Management (FRM) Analyst Program begins with up to seven weeks of ... , and providing commentary on current market conditions. The Financial Risk Management Analyst ...
  • Risk Quantitative Analyst II (Market Risk)

    Regions Bank - Birmingham, Alabama
    ... Description:** At Regions, the Risk Quantitative Analyst is a member of a key strategic team that is ... most appropriate analytical solution Collaborates with Credit Portfolio Managers, Risk Management ...
  • Risk Quantitative Analyst II (Market Risk)

    Regions Bank - Atlanta, Georgia
    ... Description:** At Regions, the Risk Quantitative Analyst is a member of a key strategic team that is ... most appropriate analytical solution Collaborates with Credit Portfolio Managers, Risk Management ...
  • Senior Analyst, Market Risk Analytics

    NRG Energy, Inc. - Houston, Texas
    ... maintaining risk management tools. Essential Duties/Responsibilities: Evaluate the ... manner Develop algorithms and predictive models to support risk management decisions, often ...
  • Business Analyst/Data Analyst - Capital Market, Risk Compliance

    ICONMA, LLC - United States
    ... to evolve and govern the Risk Finance Technology Capability model. This work will include ... will help to define a target state architecture and roadmap for Risk Finance Technology and be ...
  • Senior Analyst, Capital Markets and Risk

    Capital One - McLean, Virginia
    ... portfolios and underlying risk drivers and communicate effectively to the management and downstream users ... Center 1 (19052), United States of America, McLean, Virginia Senior Analyst, Capital Markets ...
  • Sr. Analyst, Capital Markets & Risk - FTP & Balance Sheet Planning

    Capital One - McLean, Virginia
    ... with risk management, compliance, audit, or finance, or a combination **At this time, Capital ... Center 2 (19050), United States of America, McLean, Virginia Sr. Analyst, Capital Markets ...
  • Principal Analyst, Capital Markets and Risk - Liquidity Coverage Ratio (LCR) & Net Stable Funding Ratio (NSFR)

    Capital One - McLean, Virginia
    ... Risk Management (LRM) team, within Capital One’s Capital Markets and Analytics (CMA) organization, is ... , and the Corporate Development team to gain a deep understanding of liquidity risk management practices ...
  • Business Analyst (Capital Markets/ Market Risk)

    ICONMA, LLC - United States
    ... development team Chartered Financial Analyst (CFA) or Financial Risk Manager (FRM) certification ... Finance Operations Regulatory and Operational Compliance Risk (market ...
  • Risk Analyst (Market Risk)

    King Street Capital Management, L.P. - New York, New York
    ... Design, implement, and execute a portfolios’ risk management functions. Analyze the historical ... analyze financial assets to help make investment decisions. Perform risk management of assets across all ...
  • Market Risk Analyst (Statistician)

    American Electric Power - Columbus, Ohio
    ... various data types to uncover hidden patterns and unknown correlations to support business and management ... basic reports for management as well as conducts basic hypothesis tests (contextualize basic levels of ...
  • Market Risk Trading Analyst

    SMBC - New York, New York
    ... different types of risks. Based on model results, suggest risk reduction and hedging strategies ... correlation between instruments, and suggest risk reduction and hedging strategies. **Role Objectives ...
  • Global Markets In-Business Market Risk / Market Analyst – VP

    Citigroup - New York, New York
    ... The Global Markets In-Business Risk (IBR) is a Front Office 1st Line of Defense team responsible for market risk across asset classes within Citi’s Global Markets division. The team is missioned to ...
  • Senior Analyst- Market & Liquidity Risk

    Ally - Raleigh, North Carolina
    ... available). On a hybrid schedule, in office weekly with some remote days. Ally’s Market and Liquidity Risk Management (MLRM) function helps to create, preserve, and realize long-term value for the Company that is ...
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