7 market risk analyst jobs at 5 companies in Corinth, TX
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Market Risk Senior Analyst
Coppell or Dallas
$50k-$100k/yrHybridFull Time
Fixed Income Clearing Corporation (FICC): Global post-trade market infrastructure for the financial services industry.
2+ YOEMinimum 2 years related experience; bachelor's degree preferred or equivalent; experience with margining, market and liquidity risk monitoring, strong collaboration and communication skills.
Western Alliance BancorporationNYSE: WAL: A national bank holding providing diverse commercial financial services.
4+ YOEBachelor's degree in finance, economics, mathematics, or related field and 4+ years in financial risk, asset-liability management, investment portfolio oversight, or mortgage capital markets analytics.
Goldman SachsNYSE: GS: Global investment banking, securities and investment management firm.
1+ YOEBachelor's degree in finance, accounting, or related field; strong audit, analytical, communication, and relationship skills; market risk knowledge; and preferred experience in market risk or audit.
Goldman SachsNYSE: GS: Global investment banking, securities and investment management firm.
Bachelor's in finance/accounting or related, audit mindset for market risk, strong communication, analytical and problem-solving skills, knowledge of market risk metrics and capital regimes; preferred 1+ years market risk or audit experience.
Product Developer / Business Analyst - Counterparty Credit Risk Stress Testing, Vice President
Irving or Tampa
$115k-$172k/yrHybridFull Time
CitiNYSE: C: Global financial services organization enabling growth and economic progress.
5+ YOE5+ years in finance or banking; end-to-end project delivery; financial market products, counterparty credit risk, exposure metrics, business analysis, project management, data analysis, and stakeholder communication.
InfosysNYSE: INFY: Global leader in next-generation digital services and consulting.
Experience in liquidity risk and financial services, advanced SQL, familiarity with capital markets products, Agile/SAFe experience, and strong analytical and communication skills; bachelor’s degree required or equivalent experience.
Global Banking & Markets, Private, Infrastructure and Real Asset Finance Group, Credit Analyst/Portfolio Management, Associate - Dallas
Dallas, Texas, United States
OnsiteFull Time
Goldman SachsNYSE: GS: Global investment banking, securities and investment management firm.
3+ YOEBachelor's degree in finance, economics, accounting, or related quantitative field; 3–5 years of relevant experience; advanced financial modeling and Microsoft Excel skills; credit risk and complex financial structure analysis.