Credit Risk Analyst Diversified Corporate Coverage Madison-DavisCredit Risk Analyst Diversified Corporate CoverageNew York, NY$130,000–$160,000 / yearWrite comprehensive credit analyses evaluating borrower balance sheets, income statements, cash flow statements and projections, transaction structure, exposure size, and key risks and mitigants. The role is assigned to a Diversified Corporate coverage team offering broad sector exposure across a range of corporate borrowers while also providing support on ad hoc portfolio and research projects as needed.
NewCybersecurity Risk Analyst Macpower Digital Assets Edge Private LimitedCybersecurity Risk AnalystJersey City, NJ$65 / hourPosition Summary: The Information Risk Analyst/Cybersecurity Risk Analyst will be responsible for developing risk assessment questionnaires, conducting risk assessments for applications (on-premises and cloud), infrastructure (on-premises and cloud), and vendors, in accordance with a defined risk framework. Collaborate with Enterprise IT to address cybersecurity risk findings, new initiatives, and ad hoc processes, covering areas such as databases, operating systems, networking devices, storage systems, and cloud solutions.
NewQuantitative Risk Analyst FidelityQuantitative Risk AnalystJersey City, New JerseyRemoteThe Quantitative Risk Analyst will work on a cross-functional team responsible for evaluating market, financial, and operational risks; validating quantitative models; assessing private and complex asset valuations; evaluating the effectiveness of risk management models and tools; communicating issues and findings to management; and devising solutions for continual business improvements. Please be advised that Fidelity’s business is governed by the provisions of the Securities Exchange Act of 1934, the Investment Advisers Act of 1940, the Investment Company Act of 1940, ERISA, numerous state laws governing securities, investment and retirement-related financial activities and the rules and regulations of numerous self-regulatory organizations, including FINRA, among others.
Risk Analyst Graham Capital ManagementRisk AnalystNorwalk, CT$120,000–$155,000 / yearA successful candidate is eager to learn the key risk parameters and calculations for everyday risk management, while also building an extensive knowledge base of products within the fixed income, commodities, FX, and equity indices spaces. The analyst will prepare materials used by the Chief Risk Officer ("CRO") to keep firm management, investors, and traders informed of the risks being taken by portfolio managers.
NewSenior Vendor Risk Analyst - Remote UnitedHealth Group Inc.Senior Vendor Risk Analyst - RemoteNew York, NYRemote$72,800–$130,000 / yearThis role evaluates vendors across multiple risk domains, coordinates cross-functional assessments, and ensures higher-risk findings are appropriately escalated. Reporting to the Director Risk Management, the Senior Vendor Risk Analyst is responsible for assessing third-party risk exposure and supporting the organization's vendor risk management program.
Senior Technology Risk Analyst - Iselin, NJ (Hybrid) Provident Financial ServicesSenior Technology Risk Analyst - Iselin, NJ (Hybrid)Iselin, NJ$70,000–$100,000 / yearPossess a strong competence to remain objective while providing healthy, constructive, and productive challenge, be highly supportive of alternative viewpoints, remain strategic while defining risk management expectations, and demonstrate the ability to build consensus through influence, steadfastness, and partnership. In tandem with these efforts, establish and sustain robust key risk indicators, monitoring mechanisms, assurance procedures, reporting frameworks, and additional controls, implementing select measures within the first line of defense and reinforcing them through targeted training and awareness initiatives.
NewSenior Futures Risk Analyst moomooSenior Futures Risk AnalystJersey City, NJ$125,000–$165,000 / yearThis individual-contributor role is responsible for monitoring client and proprietary risk exposures, administering trading and credit controls, evaluating margin and collateral adequacy, and escalating emerging market- and credit-risk issues in a timely manner. Strong understanding of futures contract specifications, settlement and delivery mechanics, and product-specific risk characteristics across equity index, fixed-income, commodity, FX, and options-on-futures products.
Balance Sheet Risk Analyst U.S. BankBalance Sheet Risk AnalystNew York, NY$66,640–$78,400 / yearLiquidity Risk Oversight within BSRM is responsible for independent oversight and monitoring of the Bank's overall funding, investment, liquidity risk limit setting, risk assessment and analysis, and management and regulatory reporting, including adherence to relevant regulatory requirements. In addition, certain positions may also be subject to the requirements of FINRA, NMLS registration, Reg Z, Reg G, OFAC, the NFA, the FCPA, the Bank Secrecy Act, the SAFE Act, and/or federal guidelines applicable to an agreement, such as those related to ethics, safety, or operational procedures.
Risk Analyst Morgan StanleyRisk AnalystNew York, New YorkOur values - putting clients first, doing the right thing, leading with exceptional ideas, committing to diversity and inclusion, and giving back - aren’t just beliefs, they guide the decisions we make every day to do what's best for our clients, communities and more than 80,000 employees in 1,200 offices across 42 countries. The cornerstone of Morgan Stanley's risk management philosophy is the execution of risk-adjusted returns through prudent risk-taking that protects Morgan Stanley's capital base and franchise.
Senior Credit Risk Analyst Energy & Commodities Madison-DavisSenior Credit Risk Analyst Energy & CommoditiesNew York, NY$160,000–$200,000 / yearThe role offers direct Credit Committee presentation responsibility, active Front Office engagement, and meaningful exposure to both local and international risk governance making it an ideal fit for a seasoned credit professional with sector expertise who combines strong analytical independence with the ability to communicate credit views clearly and persuasively to senior stakeholders across multiple geographies. Prepare comprehensive credit applications and independent risk analyses for new transactions and annual reviews across Power, Oil & Gas, and Commodities Finance sectors including creditworthiness assessment, sector trend analysis, peer comparison, financial statement review, and financial projections as applicable.
VP, Project Finance Credit Risk Analyst Madison-DavisVP, Project Finance Credit Risk AnalystNew York, NYPrepare comprehensive credit assessments adjudication opinions, financial projections, and stress tests for submission to the Credit Approval Committee (CAC). The group covers high-profile asset classes including data centers, renewable energy (wind & solar), LNG facilities, and infrastructure.
Vice President Credit Risk Analyst, Financial Institutions Madison-DavisVice President Credit Risk Analyst, Financial InstitutionsNew York, NY$110,000–$230,000 / yearThis Vice President-level credit risk opportunity sits within the Financial Institutions group of a well-established banking organization, offering broad exposure across correspondent banking relationships, credit analysis, and regulatory compliance. The role blends rigorous credit underwriting with active relationship management requiring someone equally comfortable building and maintaining FI correspondent relationships as they are conducting deep credit analysis and interfacing with regulators.
Credit Risk Analyst Financial Institutions (FIG) Madison-DavisCredit Risk Analyst Financial Institutions (FIG)New York, NY$90,000–$150,000 / yearThis opportunity sits within the Financial Institutions Group of a well-established banking organization, supporting a front office underwriting function with coverage across a broad array of FIG clients with a particular focus on Insurance companies and Broker-Dealers. Conduct in-depth credit analysis on new requests, renewals, credit change requests, and annual relationship reviews across a diverse FIG portfolio including Insurance and Broker-Dealer clients.
Credit Portfolio Risk Analyst SMBCCredit Portfolio Risk AnalystNew York, NY$69,000–$85,000 / yearThis role is a key contributor to materials for internal risk committees and regulators, translating complex portfolio data, stress testing outputs, and strategic business considerations into clear, actionable risk appetite metrics and limits for senior management. (SMBC), SMBC Nikko Securities America, Inc., SMBC Capital Markets, Inc., SMBC MANUBANK, JRI America, Inc., SMBC Leasing and Finance, Inc., Banco Sumitomo Mitsui Brasileiro S.A., and Sumitomo Mitsui Finance and Leasing Co., Ltd.
NewSenior Futures Risk Analyst Futu Securities International (Hong Kong) LtdSenior Futures Risk AnalystJersey City, NJThis individual-contributor role is responsible for monitoring client and proprietary risk exposures, administering trading and credit controls, evaluating margin and collateral adequacy, and escalating emerging market- and credit-risk issues in a timely manner. Monitor upcoming market-risk events-including economic releases, geopolitical developments, contract expirations, delivery periods, and market holidays-and recommend appropriate adjustments to risk parameters or monitoring thresholds.
NewSenior Futures Risk Analyst Futu SecuritiesSenior Futures Risk AnalystJersey City, NJThis individual-contributor role is responsible for monitoring client and proprietary risk exposures, administering trading and credit controls, evaluating margin and collateral adequacy, and escalating emerging market- and credit-risk issues in a timely manner. Monitor upcoming market-risk events-including economic releases, geopolitical developments, contract expirations, delivery periods, and market holidays-and recommend appropriate adjustments to risk parameters or monitoring thresholds.
Credit Portfolio Risk Analyst Bounce AICredit Portfolio Risk AnalystNew York, NY$100,000–$120,000 / year4+ years of experience in credit risk, portfolio analytics, structured or specialty finance, acquisitions, investment banking, private credit, or a related field within a debt buyer, lender, consumer credit firm, credit fund, distressed investing, CLO, or bond-trading environment. Once portfolios are acquired, you will own tracking performance against target IRR and MOIC, identify potential shortfalls early, and connect return gaps to their underlying operation, financial, or portfolio-level drivers — not just run the numbers, but call the shots on what they mean.
Senior Risk Analyst IDT CorporationSenior Risk AnalystNewark, NJRole Overview: The Senior Risk Analyst role is critical in protecting the business from fraud and financial loss by proactively monitoring transaction trends, flagging suspicious behavior, and contributing to the ongoing development of our risk strategies and tools. As we expand, we are seeking a detail-oriented and proactive Senior Risk Analyst to join our growing Risk team and to help identify, investigate, and mitigate transaction-related risks.
Senior Market Risk Analyst Axelon Services CorporationSenior Market Risk AnalystJersey City, NJ$84–$89 / hourCollaborate with Front Office, Risk Managers, and Technology partners to define and enforce risk limits, providing actionable insights on volatility and hedging strategies. Collaborate closely with Risk Managers, Quants, Front Office traders, and technology teams to ensure risk systems meet business needs.
Risk Analyst AECOMRisk AnalystNew York, NYJob Description** AECOM Technical Services, Inc. is seeking a Risk Analyst in New York, NY: Job Details: + Review project documents and analyze project data to develop risk profiles and risk registers for projects and programs + Prepare and update project risk registers + Develop quantitative integrated costs and schedule risk models to support the informed decision-making of projects and programs + Facilitate cross-functional risk workshops with project stakeholders, including project, commercial, technical, and legal project professionals for asset classes including public transit, hospitality, healthcare, energy transmission and generation, water, and transportation + Prepare interdisciplinary discussions to develop risk mitigation strategies and ensure risk mitigation strategies are effectively implemented + Prepare and deliver risk management reports and presentations + Develop and maintain Power BI dashboards and reports to visualize risk metrics and key performance indicators for internal or client-facing purposes **Qualifications** Candidates must have a Bachelor's degree in Civil Engineering, Mathematics, Architecture or a related field and 2 years of experience as a Risk Manager, Project Cost Analyst, or a related occupation. We invite you to bring your bold ideas and big dreams and become part of a global team of nearly 50,000 planners, designers, engineers, scientists, digital innovators, program and construction managers and other professionals delivering projects that create a positive and tangible impact around the world.