16 risk analytics analyst jobs at 12 companies in Brookhaven, NY
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Risk Analyst
Stamford, Connecticut, United States
OnsiteFull Time
Gerald Metals LLC: Employee-owned global metals trader serving miners, processors, industrial consumers, and financial institutions.
3+ YOEBachelor's in Finance/Accounting required, 3+ years trading/commodity risk experience preferred, strong Excel and Microsoft Office skills, analytic and problem-solving ability, extreme attention to detail, ability to work extended hours and in-office five days/week.
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++.
First Line Credit Risk Analyst - Assistant Vice President
Purchase, New York, United States
$85k-$140k/yrHybridFull Time
Morgan Stanley Wealth ManagementNYSE: MS: Private wealth-management business serving individuals, families, businesses, institutions and foundations with advice, brokerage and financial planning.
4+ YOEMinimum 4 years financial services experience in portfolio analytics or risk management; BA in finance/economics/accounting/business/statistics/math; proficiency in Python, SQL, Tableau, Power BI; knowledge of credit risk and Snowflake preferred; strong communication.
Hubbell IncorporatedNYSE: HUBB: Manufacturer of electrical and utility infrastructure solutions.
7+ YOEBachelor's degree in business, finance, insurance, risk management, or a quantitative field; 7+ years in risk management and commercial insurance; analytical, communication, and Microsoft Office skills.
Microsoft Office, Microsoft Outlook, Microsoft Excel, Microsoft PowerPoint, Risk Management Information Systems (RMIS)
Mitsubishi HC Capital Inc.: Specialty finance providing equipment, working-capital, and structured financing to businesses across the United States and Canada.
3+ YOERequires a master's degree in a quantitative field or bachelor's degree with compensatory experience, 3–5 years of quantitative, analytics, or risk experience, and Excel plus SQL or Python proficiency.
2+ YOEUndergraduate degree in business, finance, risk analysis, or related field and 2+ years at a financial institution in risk or model risk management. Requires model lifecycle knowledge and strong analytical, communication, and organizational skills.
Microsoft Word, Microsoft Excel, Microsoft PowerPoint
First Line Credit Risk Analyst - Assistant Vice President
Purchase, New York, United States
$85k-$140k/yrOnsiteFull Time
Morgan StanleyNYSE: MS: Global financial services firm providing investment and banking solutions.
4+ YOEMinimum 4 years financial services experience, BA in finance/economics/accounting/business/statistics/math, proficiency with Python, SQL, Tableau or Power BI, strong credit risk and portfolio analytics experience.
New York City or Jericho or Denver or Chicago or Boston or Boca Raton or Plano or Tysons or Jersey City or Woodbridge or Washington or Rockville or Philadelphia or Los Angeles or San Francisco
$98k-$211k/yrHybridFull Time
FINRA: Private nonprofit self-regulatory organization that supervises U.S. broker-dealers and protects investors.
Bachelor's degree in finance, accounting, business, or related field; analytical and financial industry experience; FINRA SIE or equivalent required; advanced Excel and Word proficiency.
Sumitomo Mitsui Banking Corporation: Global financial institution offering corporate, investment, and retail banking.
Master's degree in quantitative field required; strong quantitative and qualitative analytical skills; proficiency in Python; knowledge of derivative pricing, market or liquidity risk models preferred; strong communication skills.
Credit Risk Model Development Quantitative Analyst II - Consumer Portfolio (Hybrid - see job description for potential work locations)
Buffalo or Washington or Baltimore or Iselin or Wilmington or New York City or Bridgeport
$72k-$119k/yrHybridFull Time
M&T BankNYSE: MTB: A diversified financial services providing banking and wealth management.
1+ YOEBachelor's or equivalent experience and minimum 1 year quantitative behavioral modeling experience; strong Python, SQL, and statistical software skills; experience with model development, econometrics, and communicating analytical results.
SAS, Python, Stata, R, SQL, SQL Server Management Studio
Credit Risk Model Development Quantitative Analyst II - Consumer Portfolio (Hybrid - see job description for potential work locations)
Buffalo or Baltimore or Wilmington or New York City or Washington or Bridgeport
$72k-$119k/yrHybridFull Time
M&T BankNYSE: MTB: A diversified financial services providing banking and wealth management.
1+ YOEBachelor's (or equivalent experience) and 1+ year quantitative behavioral modeling experience; strong Python and SQL skills; experience with SAS/Stata/R; model development and econometric/statistical techniques; data analysis and clear communication.
SAS, Python, Stata, R, SQL, Microsoft SQL Server Management Studio
Credit Risk Model Development Quantitative Analyst II - Consumer Portfolio (Hybrid - see job description for potential work locations)
Buffalo or Baltimore or Wilmington or New York City or Washington or Bridgeport
$72k-$119k/yrHybridFull Time
M&T BankNYSE: MTB: A diversified financial services providing banking and wealth management.
1+ YOEBachelor's degree or equivalent experience and 1+ year quantitative behavioral modeling experience; strong Python and statistical software (SAS, Stata, R) skills; SQL experience; model development and regression expertise; strong communication.
SAS, Python, Stata, R, SQL Server Management Studio, Structured Query Language (SQL)
Teachers Federal Credit Union: Member-owned nonprofit credit union providing personal and business banking, lending, investment, and financial services nationwide.
3+ YOEBachelor's degree or 8 years related experience, minimum 3 years progressive risk management experience, PSP/CPP/CRISC preferred, strong research, analytical, communication, and confidentiality skills.
Gerald Group: Employee-owned global metals trader serving miners, processors, industrial consumers, and financial institutions.
3+ YOEBachelor’s degree and 3–5 years of KYC, AML, sanctions, risk, or compliance experience, preferably in commodity trading or financial services; strong analytical and communication skills required.
OED Operations & Budget Compliance Analyst, Office of the Executive Director (OED), New York, P-1
New York City, New York, United States
OnsiteFull Time, Contract
United Nations: International organization maintaining global peace and security.
1+ YOEMaster's degree in a related field and at least 1 year of financial, budget, risk, business analysis, or management reporting experience. Requires analytical, reporting, data interpretation, operational coordination, and English communication skills.