57 market risk analyst jobs at 26 companies in Paramus, NJ
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Market Risk Analyst
New York City, New York, United States
$85k-$145k/yrOnsiteFull Time
Royal Bank of CanadaTSX: RY: Provides personal, commercial, and investment banking services worldwide.
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.
INGEuronext Amsterdam: INGA: Provides retail and wholesale banking services to global customers.
0+ YOEBachelor's or Master's in finance/economics/statistics; 0-1+ years relevant experience; knowledge of commodity market risk; strong analytical, communication and problem-solving skills; proficiency in Microsoft Office/Excel VBA, Python and SQL.
Microsoft Office, Microsoft Excel VBA, Python, SQL
INGEuronext Amsterdam: INGA: Global financial services group providing retail and wholesale banking.
0+ YOEBachelor’s or master’s degree in a relevant field, 0–1+ years of experience, financial and commodity market risk knowledge, analytical skills, and proficiency in Excel VBA; Python and SQL recommended.
Microsoft Office, Microsoft Excel, Excel VBA, Python, SQL
NewmarkNASDAQ: NMRK: Commercial real estate brokerage and property management services.
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.
Market Risk Senior Analyst, Assistant Vice President
New York City, New York, United States
$109k-$164k/yrOnsiteFull Time
CitiNYSE: C: Global diversified financial services holding.
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
Market Risk Senior Analyst, Assistant Vice President
New York City, New York, United States
$109k-$164k/yrOnsiteFull Time
CitiNYSE: C: A global financial services providing banking and credit services.
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
Market Risk Senior Analyst, Assistant Vice President
New York City, New York, United States
$109k-$164k/yrOnsiteFull Time
CitiNYSE: C: Providing global banking, investment, and wealth management services.
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
Polymarket: A decentralized platform for trading on real-world event outcomes.
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.
Mizuho Financial GroupTokyo Stock Exchange: 8411: Global financial group providing banking and investment 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.
Verition: Global multi-strategy hedge fund providing investment management services.
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.
AQR Capital Management: Quantitative investment firm managing traditional and alternative 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++.
SMBC GroupNew York Stock Exchange: SMFG: Provides global banking, investment, securities, and consumer finance services.
Basic knowledge of credit markets and risk analysis, with modeling, analytical, communication, information technology, and project management skills; no prior experience required.
0+ YOE0-3 years relevant experience in credit risk or financial analysis; knowledge of capital markets, derivatives, lending; strong analytical and financial modeling skills; proficient with Microsoft Excel, PowerPoint, Word, Outlook.
Microsoft Excel, Microsoft PowerPoint, Microsoft Word, Microsoft Outlook
Capital Market & Financial Risk Management Business Analyst
Charlotte or Jersey City or Tampa
$82k-$123k/yrOnsiteFull Time
InfosysNYSE: INFY: Provides IT consulting, software development, and business outsourcing services.
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
CRISILNational Stock Exchange (NSE) / Bombay Stock Exchange (BSE): CRISIL: Global provider of credit ratings, research, and analytics 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.
UBSSIX Swiss Exchange: UBSG: Provides global wealth management and diversified financial services.
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.
Model Risk (Risk Management) : Job Level - Associate
New York City, New York, United States
$100k-$140k/yrOnsiteFull Time
Morgan StanleyNYSE: MS: Provides global investment banking, wealth management, and advisory services.
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
Provident Bank: Retail and commercial banking services for individuals and businesses.
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.
Bengaluru or New York City or London or Mumbai or Tokyo or Hong Kong
OnsiteFull Time
Goldman SachsNYSE: GS: Global investment banking, securities, and investment management firm.
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