236 risk analyst jobs at 78 companies in Lockport, NY
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Program/Project Risk Analyst
Toronto or Montréal
HybridFull Time
AtkinsRéalisToronto Stock Exchange: ATRL: Providing global engineering design and infrastructure project management services.
15+ YOEUniversity degree in engineering, construction, or related education; 15+ years in design/construction and 5+ years in risk modelling. Requires P6, @Risk, MS Office, MS Project, and excellent English.
Safran, Microsoft Project, Primavera P6, @Risk, Microsoft Office, Microsoft Word, Microsoft Excel, Microsoft PowerPoint
7+ YOEBachelor’s degree in a quantitative discipline and 7 years of relevant experience, including 2 years in interest rate, market, or liquidity risk; strong ALM, QRM, derivatives, valuation, and regulatory knowledge.
KeyBankNYSE: KEY: Provides retail, commercial, and investment banking products and services.
2+ YOEBachelor’s degree in finance, accounting, business, or related field and 2+ years in risk management, treasury management, or banking; strong analytical, communication, collaboration, and problem-solving skills.
Infrastructure & Capital Projects - Risk Analyst, COM
Toronto, Ontario, Canada
$99k-$148k/yrOnsiteFull Time
AccentureNYSE: ACN: Global professional services firm providing consulting and technology solutions.
12+ YOERequires 12+ years in large infrastructure or rail transit projects, engineering or project management degree, risk management certification pursuit, and proficiency with project scheduling, risk management, databases, and office software.
Primavera P6, Primavera, Microsoft Project, SQL, Microsoft Office, TILOS, Risk Radar, DOORs, Relatics, Active Risk Manager (ARM), Oracle Primavera Risk Analyzer (OPRA), Acumen Risk, Acumen Fuse
FCC GroupBolsas y Mercados Españoles: FCC: Global infrastructure, environmental services, and water management provider.
5+ YOEBachelor's degree or equivalent education and experience; 5–10 years in construction project management or risk management, ideally involving infrastructure, rail, transit, tunnels, or urban projects.
ATB Financial: Provides banking, lending, and investment services to Albertans.
2+ YOEMaster’s degree in a quantitative field and 2–5 years of quantitative risk, model development, validation, or financial engineering experience in banking or capital markets. Requires Python, SQL, and financial risk modeling expertise.
Operational Risk 2nd LOD Lead Analyst - Vice President
Getzville, New York, United States
$92k-$138k/yrHybridFull Time
CitiNYSE: C: Global diversified financial services holding.
6+ YOEBachelor’s degree and 6–10 years of experience, including risk management, compliance, governance, or controls work. Requires operational risk expertise, analytical ability, regulatory knowledge, and strong stakeholder communication.
Operational Risk 2nd LOD Lead Analyst - Vice President
Getzville, New York, United States
$92k-$138k/yrHybridFull Time
CitiNYSE: C: A global financial services providing banking and credit services.
6+ YOEBachelor’s degree and 6–10 years of experience in risk management, compliance, governance, or controls; requires operational risk expertise, regulatory knowledge, analytical ability, stakeholder management, and Microsoft Office proficiency.
ArcadisEuronext Amsterdam: ARCAD: Global design, engineering, and consultancy for natural and built assets.
7+ YOE7+ years risk management experience on large infrastructure projects, 5+ years client-facing experience, proficiency with @RISK, Safran Risk, Power BI, quantitative risk analysis, HAZAN/HAZOP facilitation, and strong stakeholder engagement.
Mace: Provides global project management and construction consultancy services.
5+ YOEMinimum 5 years delivering project risk management on major construction projects; degree or equivalent; proven risk frameworks experience; proficiency with risk analysis tools; strong stakeholder engagement and commercial awareness.
Active Risk Manager, riskHive, @RISK, Primavera Risk Analyzer
Senior Business Risk Analyst, Trading, Treasury, & Securities Lending
Toronto or Mississauga
$105k-$123k/yrHybridFull Time
Fidelity Canada: Provides investment products and clearing services for Canadian investors.
3+ YOERequires 3+ years of risk management experience, a university degree, strong analytical and communication skills, and Microsoft Office proficiency, especially Excel and PowerPoint.
Microsoft Office, Microsoft Excel, Microsoft PowerPoint
Operational Risk 2nd LOD Lead Analyst - Vice President
Getzville, New York, United States
$92k-$138k/yrHybridFull Time
CitiNYSE: C: Providing global banking, investment, and wealth management services.
6+ YOEBachelor's degree and 6–10 years of experience in risk management, compliance, governance, or controls, with operational risk expertise, regulatory knowledge, analytical skills, and senior stakeholder communication.
StantecTSX: STN: Provides professional engineering, architecture, and environmental consulting services.
7+ YOE7+ years experience in quantitative/qualitative cost and schedule risk assessment, extensive QRA experience, university degree in related field, PMI-RMP or equivalent, familiarity with P6 Risk Analyzer/@Risk/Primavera Risk Analysis and strong communication skills.
Rogers CommunicationsToronto Stock Exchange: RCI.B: Provides telecommunications and media services across Canada.
2+ YOETwo years of analyst experience, preferably in consumer credit risk, fraud, or collections; expertise in Databricks, SQL, data validation, Excel, data mining, and analysis. A university degree is preferred.
Databricks, SQL, Microsoft Excel, Microsoft PowerPoint, Python, Knowledge Seeker, Studio, Enterprise Miner, SPSS, Model Builder, AMDOCS
Alterna Savings and Credit Union: Member-owned cooperative providing banking and investment services.
5+ YOEBachelor’s degree in a related field and 5+ years in risk management or internal audit within financial services. Requires analytical skills and proficiency with Microsoft Office, Word, Excel, and PowerPoint.
Microsoft Office, Microsoft Word, Microsoft Excel, Microsoft PowerPoint
PC Financial: Provides retail banking and credit cards with loyalty rewards.
Bachelor's degree in a quantitative field required; experience in credit risk modeling and risk management; strong statistical modelling and data analysis skills; proficiency in Python or R; familiarity with IFRS 9/CECL is a plus.
TMX GroupToronto Stock Exchange: X: Operates global financial markets and exchange trading platforms.
3+ YOEBachelor’s degree in finance, business administration, or related field and 3+ years in risk management, audit, or compliance within financial services or consulting. Strong ERM, communication, and stakeholder skills required.
Haventree Bank: Provides alternative mortgage lending and GIC deposit products.
3+ YOEUniversity degree or equivalent and 3+ years in banking required. Experience with change management, business continuity, control analysis, risk governance, mortgage regulations, MS Office, and Salesforce preferred.