Risk Management Jobs in New York
Showing 44 results
Sort by:
Data Governance Manager
Data Governance ManagerLocation: New York, New YorkCompensation: 160-210k A leading global financial services firm is currently looking to grow out their Data Governance team by bringing on a Manager to their office in New York City. Ideal candidates have 7+ years of experience in a data governance/ data management position and are experienced in ...
Senior Risk Manager Options/Volatility
FeaturedAn industry leading Market Maker is looking to hire a Senior Risk Manager to cover Options market making and Volatility trading in NYC.The firm handles several billion dollars worth of retail and institutional flows daily across equities, fixed income, and options trading on a daily basis. This hire will focus specifically on intraday risk manageme...
Associate Counterparty Risk Quant
A leading Investment Bank in NYC is looking to hire an Associate level candidate specialized in Counterparty Risk model development to join their Quantitative Counterparty Risk Analytics team.This hire will report directly to the Head of Risk Analytics and be responsible for the development and methodology of Counterparty Risk Models. This individu...
Elevate your career
Take the first step toward your next opportunity - submit your resume and get started today.

Risk Analyst Options Market Making
FeaturedAn industry leading Market Making Firm is looking to hire a Risk Analyst to cover Options and Volatility trading in NYC. The firm handles several billion dollars worth of retail and institutional flows daily across equities, fixed income, and options trading on a daily basis. This hire will focus specifically on intraday risk management for the mul...
VP Counterparty Risk Quant
A leading Investment Bank in NYC is looking to hire a VP level candidate specialized in Counterparty Risk model development to join their Quantitative Counterparty Risk Analytics team.This hire will report directly to the Head of Risk Analytics and be responsible for the development and methodology of Counterparty Risk Models. This individual will ...
Market Risk VP Rates/FX
A top international investment bank is VP / Director level market risk managers covering their rates trading business. The bank has been growing out their trading arm and this role will be desk-facing covering Rates, FX, and XVA.The Role:Manage market risk working with the trade desk, focusing on Rates, FX, and XVAExplain daily changes in VaR, SVa...