55 market risk analyst jobs at 28 companies in Hell's Kitchen, NY

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Market Risk Analyst
New York City, New York, United States
$85k-$145k/yr OnsiteFull Time
RBC Capital Markets
RBC Capital Markets: Global investment bank providing advisory, capital markets, and financing services to corporations, institutions, and governments.
Requires a finance, economics, or quantitative degree; financial markets knowledge; strong workload prioritization, attention to detail, and communication. Python and SQL, plus equity derivatives knowledge, are preferred.
Python, SQL
1mo
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VP, Market Risk Analyst, Fixed Income
New York, New York, United States
$150k-$175k/yr OnsiteFull Time
Newmark
NewmarkNASDAQ: NMRK: Global commercial real estate advisory and service provider.
10+ YOE10+ years market risk experience in fixed income and structured products, advanced SQL, RiskMetrics/Bloomberg experience preferred, bachelor's in finance/economics/mathematics, strong communication and judgment.
RiskMetrics, Bloomberg, SQL
2w
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Market Risk Senior Analyst, Assistant Vice President
New York City, New York, United States
$109k-$164k/yr OnsiteFull Time
Citi
CitiNYSE: C: Global financial services organization enabling growth and economic progress.
5+ YOERequires 5–8 years of relevant experience, a quantitative or financial degree, financial instruments and risk metrics knowledge, quantitative and data analysis skills, project management, and proficiency in Microsoft Office, Excel/VBA, and SQL.
Microsoft Office, Microsoft Excel, VBA, Microsoft Word, Microsoft PowerPoint, SQL
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Market Risk Senior Analyst, Assistant Vice President
New York City, New York, United States
$109k-$164k/yr OnsiteFull Time
Citi
CitiNYSE: C: Global financial services organization enabling growth and economic progress.
5+ YOERequires 5–8 years of relevant experience, a quantitative or financial degree, financial instruments and risk metrics knowledge, data analysis experience, strong communication, project management, and Excel/VBA, Word, PowerPoint, and SQL proficiency.
Microsoft Excel, VBA, Microsoft Word, Microsoft PowerPoint, SQL
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Market Risk Senior Analyst, Assistant Vice President
New York City, New York, United States
$109k-$164k/yr OnsiteFull Time
Citi
CitiNYSE: C: Global financial services organization enabling growth and economic progress.
5+ YOERequires 5–8 years of relevant experience, a quantitative or financial degree, financial instruments and risk metrics knowledge, data analysis experience, quantitative skills, project management, and proficiency in Excel/VBA, Word, PowerPoint, and SQL.
Microsoft Excel, Visual Basic for Applications (VBA), Microsoft Word, Microsoft PowerPoint, SQL
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Securities Finance Front Office Market Risk Analyst, Vice Presidentnalyst
Boston or Jersey City
$130k-$220k/yr OnsiteFull Time
State Street
State StreetNYSE: STT: Global financial services and bank holding.
10+ YOEBachelor's degree in a related field and 10+ years in FCM, futures clearing, listed derivatives, repo, securities financing, or front-office market risk. Requires margin, liquidity, counterparty risk, controls, and stress-testing expertise.
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Senior Risk Analyst
New York City, New York, United States
OnsiteFull Time
Polymarket
Polymarket: Private blockchain-based prediction market platform where users trade on outcomes of real-world events.
7+ YOERequires 7+ years in financial services risk, compliance, or audit; capital markets trading experience; risk framework implementation in a regulated organization; and strong written communication.
MacBook Pro
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Quant Analyst – Market Risk
New York City, New York, United States
$155k-$285k/yr OnsiteFull Time
Bloomberg
Bloomberg: Global financial software, data, and media.
4+ YOEPh.D. or equivalent quantitative experience; 4+ years at VP level or above in market risk modeling; expertise in risk measures, derivatives, two asset classes, regulatory calculations, C++ and Python.
C++, Python, Natural Language Processing, Monte Carlo
2mo
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Risk Tech Analyst
New York City, New York, United States
$70k-$100k/yr HybridFull Time
Mizuho Financial Group
Mizuho Financial GroupTokyo Stock Exchange: 8411: Japanese publicly traded bank holding providing banking, securities, trust, asset-management, and research services.
3+ YOE3+ years supporting derivatives or market risk implementations, working knowledge of derivatives analytics and market risk practices, proficiency with Murex/Polypath/BER, SQL, Python, ANT, JSON, strong communication and problem-solving skills.
Murex, Murex 3.1, Polypath, BER, Matsuri, SQL, Python, ANT, JSON
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Global Banking & Markets, Supervisory Risk & Controls, New York-Analyst
New York City, New York, United States
$85k-$110k/yr OnsiteFull Time
Goldman Sachs
Goldman SachsNYSE: GS: Global investment banking, securities and investment management firm.
2+ YOEBachelor's degree and 2–3 years of relevant experience. Banking, securities markets, derivatives, deal flows, project management, organization, communication, and attention to detail required or preferred.
3w
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Equity Long/Short Risk Analyst
New York City, New York, United States
$150k-$200k/yr OnsiteFull Time
Verition Fund Management
Verition Fund Management: Private multi-strategy, multi-manager hedge fund managing global investment strategies for institutional investors.
4+ YOERequires 4–5 years of financial-sector risk management experience focused on equity markets, with Python and SQL proficiency, risk model familiarity, and strong communication skills.
Python, SQL, AI, Barra
1mo
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Finance, Risk Analyst, Vice President & Associate
New York, New York, United States
$150k-$170k/yr OnsiteFull Time
BTIG
BTIGNYSE: USB: Global financial services firm providing institutional trading, investment banking, and research services.
5+ YOE5+ years market risk/front-to-back risk experience with equities and derivatives, strong market risk knowledge (VaR, stress testing), margin/collateral experience (IM/VM, OCC SPAN preferred), data analysis and automation skills, strong communication.
Python, SQL, Microsoft Excel, VBA
3mo
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2027 Risk Summer Analyst
Greenwich, Connecticut, United States
OnsiteInternship
AQR Capital Management
AQR Capital Management: Private quantitative investment manager serving institutional and individual investors through alternative and long-only strategies.
Pursuing December 2027 or Spring 2028 graduate in a financial/quantitative field; strong interest in markets and risk; familiarity with financial instruments and risk metrics; programming experience in Python, Matlab, or C++.
Python, Matlab, C++, risk_metrics
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Risk Management - Capital Risk Management Analyst
Brooklyn or New York City
$100k-$120k/yr OnsiteFull Time
JPMorgan Chase
JPMorgan ChaseNYSE: JPM: Global financial services and investment banking firm.
Requires capital, liquidity, or market risk experience; advanced quantitative finance degree; proficiency in LLM, Python, Tableau, Snowflake, Databricks, SQL, PowerPoint, and Excel; strong financial markets, analytical, communication, and process management skills.
LLM, Python, Tableau, Snowflake, Databricks, SQL, Microsoft PowerPoint, Microsoft Excel
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Capital Market & Financial Risk Management Business Analyst
Charlotte or Jersey City or Tampa
$82k-$123k/yr OnsiteFull Time
Infosys
InfosysNYSE: INFY: Global leader in next-generation digital services and consulting.
Experience with capital markets and risk functions, requirement gathering, process mapping, regulatory change programs, stakeholder management; bachelor\u0002s degree required or equivalent experience; authorized to work in the US without sponsorship.
SAS Risk/IFRS/Stress, Moody\u0002s Analytics, Oracle OFSAA, Axiom/OneSumX, QRM, Murex, Calypso
2mo
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Change BA - Market Risk/CCR
New York, New York, United States
OnsiteFull Time
CRISIL Limited
CRISIL LimitedNSE / BSE: CRISIL: Global analytics firm providing ratings, research, and advisory services.
7+ YOE7+ years experience in market risk or CCR with strong SQL and Python skills; experience on large-scale risk transformation programs, requirement gathering, documentation, stakeholder management.
JIRA, Confluence, SQL, Python
2w
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Credit Risk Analyst - IB Hedge Funds Americas
Raleigh or New York City
$70k-$85k/yr OnsiteFull Time
UBS
UBSSIX Swiss Exchange / NYSE: UBSG / UBS: Global wealth management and universal banking services firm.
2+ YOEBachelor's degree in accounting, finance, economics, or mathematics preferred; 2–5 years of related financial services experience, quantitative risk analysis, hedge fund due diligence, financial markets, and trading documentation knowledge.
Artificial Intelligence (AI), ISDA/CSA
2mo
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Model Risk (Risk Management) : Job Level - Associate
New York City, New York, United States
$100k-$140k/yr OnsiteFull Time
Morgan Stanley
Morgan StanleyNYSE: MS: Global financial services firm providing investment and banking solutions.
2+ YOEMaster's in a quantitative field required; 2+ years relevant experience in model validation, development, or finance/change management; knowledge of credit/market risk and regulatory capital frameworks; strong communication; Python/R/Alteryx/Excel VBA experience a plus.
Python, R, Alteryx, Excel VBA, SA-CCR, FRTB, Basel III, CCAR
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Credit Analyst III - Middle Market
Iselin, New Jersey, United States
$87k-$125k/yr HybridFull Time
Provident Bank
Provident BankNYSE: PFS: New Jersey’s oldest state-chartered community bank serving individuals, families, and businesses with personal and business banking.
5+ YOEBachelor's degree in finance, accounting, economics, or related field and 5+ years of commercial credit underwriting experience. Requires complex credit analysis, cash flow analysis, risk assessment, and mentoring skills.
credit reports, industry reports, market analysis
2w
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Asset & Wealth Management, Public, MAS, Portfolio Management & Risk, Analyst, Bengaluru
Bengaluru or New York City or London or Mumbai or Tokyo or Hong Kong
OnsiteFull Time
Goldman Sachs Asset Management
Goldman Sachs Asset Management: Global asset manager providing investment and advisory solutions to institutions, financial advisors, individuals, and family offices.
1+ YOERequires 1–3 years of investment management experience, quantitative analysis, risk awareness, project management, communication skills, financial markets knowledge, and proficiency in Excel and PowerPoint.
Microsoft Excel, Microsoft PowerPoint, Bloomberg, Reuters