Market Risk Developer with Java/Python SGA Inc.Market Risk Developer with Java/PythonJersey City, NJ$97.83–$117.40 / hourThis is a high-visibility, high-impact role that offers the opportunity to shape the future of risk technology at scale, work alongside some of the brightest minds in quantitative finance and technology and make a tangible contribution to the firm's risk management culture and capabilities. The Market Risk Technology team continually evolves its suite of risk management tools, frameworks, and processes—or builds new ones—to meet a frequently changing business and regulatory landscape.
Security GRC Solution Architect (ServiceNow GRC | SAP GRC | SAS Risk) IconmaSecurity GRC Solution Architect (ServiceNow GRC | SAP GRC | SAS Risk)New York, NY$52.14–$57.14 / hourThe architect will craft scalable solutions using ServiceNow risk modules, SAS risk engines, and SAP GRC capabilities to help clients strengthen resilience and regulatory confidence. This hybrid role seeks a senior architect with ten to fourteen years of experience to design and guide complex governance risk and compliance platforms that unify application migration, analytics, and enterprise risk workflows.
Senior Director, International Risk Oversight SofiSenior Director, International Risk OversightNew York City, NY$195,200–$335,500 / yearThis leader will serve in a Business Unit Risk Officer (BURO)-style capacity, partnering closely with business, compliance, legal, and functional risk teams to establish scalable governance frameworks for international expansion and consumer financial products. Lead IRM deal teams in partnership with Business Compliance Officers and cross-functional risk partners to deliver a holistic second-line risk perspective on new products, strategic initiatives, and expansion activities.
Risk Engineer Hudson River TradingRisk EngineerNew York, NY$200,000–$300,000 / yearThe ideal candidate is highly motivated to learn new concepts quickly, possesses a solid understanding of the importance of risk management within a trading environment, and is equally comfortable working alone or collaborating as part of a wider team. 2 - 5 years of experience as a quantitative analyst at a hedge fund, institutional asset manager, or investment bank; experience with fixed income, commodities, credit, or options is preferred.
NewAssociate, Counterparty Credit Risk Modeling SMBCAssociate, Counterparty Credit Risk ModelingNew York, NY$95,000–$140,000 / yearSMBC), 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. Backed by the capital strength of SMBC Group and the value of its relationships in Asia, the Group offers a range of commercial and investment banking services to its corporate, institutional, and municipal clients.
Client Segment Risk Conduct, Controls & Governance - Control Design - Vice President Morgan StanleyClient Segment Risk Conduct, Controls & Governance - Control Design - Vice PresidentPurchase, NY$115,000–$190,000 / yearRole Focus Areas: Consideration of regulatory rules, internal policies and best practice guidelines governing controls, data analysis to assess the efficiency and effectiveness of legacy supervisory controls, identification of opportunities for control enhancements, design of enhancements, coordination with key stakeholders to align on proposed enhancements and presentations to working group and governance committees. The Wealth Management Conduct, Controls & Governance team ("WM CCG") within the Wealth Management Client Segment Risk organization is responsible for, among other functions, designing supervisory controls and processes to mitigate risks to clients and the Firm including, but not limited to, those arising from Financial Advisor ("FA") sales practice misconduct and internal policy violations.
PWM Risk, Vice President Morgan StanleyPWM Risk, Vice PresidentPurchase, NY$115,000–$190,000 / yearThis role will partner with business leaders, Private Wealth Advisors/ Financial Advisors, client service teams, control partners, and stakeholders across PWM client segments to understand business-specific risks, support consistent risk management practices, and align controls, reporting, and escalation processes across the broader PWM platform. The role requires integrity, discretion, and a proactive mindset, including the ability to identify emerging risks, strengthen control processes, and pursue opportunities to automate manual risk, control, reporting, and monitoring processes to improve efficiency, consistency, transparency, and scalability across PWM.
Vice President, MSIM Financial Crimes Risk - Sanctions Morgan StanleyVice President, MSIM Financial Crimes Risk - SanctionsPurchase, New York$140,000–$205,000 / yearThe role drives remediation of open Sanctions audit actions, leads all the Sanctions control work, oversees disposition and governance of Sanctions alerts, leads the Transformation initiatives initiated by Global Financial Crimes, supports MSIM China where Sanctions risk remains significant, and represents MSIM 1L FCR across firmwide Sanctions forums ensuring MSIM can grow into new products and markets with robust, defensible controls in place. Our 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.
Vice President, Msim Financial Crimes Risk - Sanctions Morgan StanleyVice President, Msim Financial Crimes Risk - SanctionsPurchase, NY$140,000–$205,000 / yearThe role drives remediation of open Sanctions audit actions, leads all the Sanctions control work, oversees disposition and governance of Sanctions alerts, leads the Transformation initiatives initiated by Global Financial Crimes, supports MSIM China where Sanctions risk remains significant, and represents MSIM 1L FCR across firmwide Sanctions forums ensuring MSIM can grow into new products and markets with robust, defensible controls in place. Our 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.
Credit Risk Oversight Manager (2Lod) SofiCredit Risk Oversight Manager (2Lod)New York City, NY$115,200–$216,000 / yearStrong analytical and problem-solving skills to evaluate workflows and procedures; identify and resolve problems in a timely manner; develop alternative solutions; work well in group problem-solving situations; use reason even when dealing with emotional topics; support SoFi's overarching strategic goals relative to loss prevention. Demonstrated ability to think critically to identify and solve problems through structured analytical reasoning; Excellent verbal, written and presentation / story-telling skills to bring analysis findings to the forefront and influence change.
Director - Credit Risk Clear StreetDirector - Credit RiskNew York, NY$180,000–$250,000 / yearDeep expertise in counterparty credit risk across prime brokerage products including securities financing, margin lending, derivatives, cleared products, and digital assets. This role requires a seasoned professional who can independently manage a complex, institutional client portfolio, serve as a point of contact for regulators and auditors, and drive the continued evolution of the firm's credit risk framework.
Internal Audit Director - First Line Of Defense, Non-Financial Risk Audit Team Morgan StanleyInternal Audit Director - First Line Of Defense, Non-Financial Risk Audit TeamNew York, NY$108,000–$154,500 / yearOur 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. This is accomplished by performing a range of assurance activities to independently assess the quality and effectiveness of Morgan Stanley's system of internal control, including risk management and governance systems and processes.
Credit Risk: ISG Counterparty, Financials – Associate Morgan StanleyCredit Risk: ISG Counterparty, Financials – AssociateNew York, New YorkFocus of this role will be credit assessment and risk management of the Firm's trading and derivatives exposure facing central counterparty clearing houses (CCPs) /Financial Market Infrastructures (FMIs), Banks, MS affiliates, Insurance Companies, Broker dealers, Business Development Corporations (BDCs), specialty finance companies, and asset managers. Firm Risk Management (FRM) supports Morgan Stanley to achieve its business goals by partnering with business units across the Firm to realize efficient risk-adjusted returns, acting as a strategic advisor to the Board and protecting the Firm from exposure to losses as a result of credit, market, liquidity, model and other risks.
Risk Manager - US BC ForwardRisk Manager - USWhite Plains, NY$60–$70 / hourFull timeThe ideal candidate will have strong experience in complex general liability, product manufacturing risk, and casualty claims management and a proven ability to design and optimize commercial insurance programs, reduce total cost of risk, and drive favorable claim outcomes . Oversee casualty claims, including general and product liability, partnering with TPAs, carriers, defense counsel, and brokers to achieve favorable outcomes.
Associate, Investment Risk BlackRockAssociate, Investment RiskNew York, New YorkTo help you stay energized, engaged and inspired, we offer a wide range of benefits including a strong retirement plan, tuition reimbursement, comprehensive healthcare, support for working parents and Flexible Time Off (FTO) so you can relax, recharge and be there for the people you care about. RQA’s risk managers play a meaningful role in BlackRock’s investment process, using quantitative analysis and a multi-disciplinary skillset to tackle real-world problems and provide tangible solutions in the investment management process.
Professional Services Consultant, Risk RippleProfessional Services Consultant, RiskNew York, NY$112,000–$140,000 / yearTHE WORK: We believe solving complex financial challenges demands more than cutting-edge technology - it requires bold thinkers who can act decisively, move fast, and guide clients through transformation with confidence and creativity. You will partner with treasury, accounting, and finance teams to understand their most pressing operational challenges, architect scalable solutions, and lead successful implementations across: Debt & Investments.
Associate, Country Risk Morgan StanleyAssociate, Country RiskNew York, NYRequires five (5) years of experience with the following skills: Developing and implementing data and reporting strategies to meet business and regulatory data requirements; Conceptualizing and implementing Risk and Finance portfolio data and reporting solutions; Handling complex data requirements to ensure data accuracy, integrity, and reliability; Planning roles, dependencies, risks and issues in the delivery of scalable data and reporting solutions; Managing multiple projects and collaborating across business units to develop realistic and executable project plans and deliver data solutions; Utilizing Power BI, Tableau, or Qlik Sense, for developing dashboards and visualizations; Utilizing object-oriented programming and scripting languages, including SQL and VBA; Utilizing MSSQL, and MS Access relational databases and data workflow optimization. Our 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.
Electronic Trading Risk - Core Institutional Equity - Vice President Morgan StanleyElectronic Trading Risk - Core Institutional Equity - Vice PresidentNew York, NY$140,000–$200,000 / yearOur 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. ETRM partners closely with a diverse set of stakeholders including Product Management, Traders, Client Coverage, Legal and Compliance, Technology, Operations, Desk Strategists, Quantitative Research, Clients and External Regulators.
Market Risk - BA/DA SGA Inc.Market Risk - BA/DAJersey City, NJ$90.58–$108.70 / hourAnalytical Problem-Solving: Ability to decompose complex, ambiguous risk problems into structured analytical frameworks and deliver data-driven solutions that inform senior decision-making. Strategic Advisory & Leadership: Collaborate with Front Office, Risk Managers, and Technology partners to define and enforce risk limits, providing actionable insights on volatility and hedging strategies.
NewRisk And Compliance Lawyer Freshfields Bruckhaus DeringerRisk And Compliance LawyerNew York, NY$165,000–$190,000 / yearAs a member of the Legal Department's US team, the Risk & Compliance Lawyer will have the following responsibilities: Advise the partnership on business acceptance issues relating to conflicts of interest, confidential information, reputational risk and sanctions issues globally, to assess the business suitability of potential new matters and new clients; Undertake due diligence and reputational risk assessment of new clients and matters; Assist the partnership with solutions to resolve conflicts, confidentiality, reputational and commercial risk, anti-money laundering (AML) compliance and sanctions issues including assistance with drafting waivers and maintaining information barriers; Answer questions from partners, associates and staff at all levels across the firm regarding US law, regulations and firm policies pertaining to conflicts of interest, ethics and regulatory compliance; Review and advise on client engagement letters and outside counsel guidelines, particularly with respect to conflicts of interest and US applicable law and regulation; Advise the partnership on ad hoc queries relating to ethics and regulatory compliance including audit letters, securities dealing, anti-bribery regulations, outside appointments, qualification and practice of law, attorney advertising, fee-sharing and other fee arrangements; Assist in review of incoming lateral hires for potential conflicts of interest; Remain current on the type of work that Freshfields undertakes across all sectors and join a sector team in at least two sectors building strong and trusted relationships with Sector Group Leaders; and. Strong analytical skills and ability to grasp relevant issues quickly and to understand complex conflicts and regulatory issues, within a commercial context; Combination of confidence, presence and a diplomatic manner; Reputation as a proactive problem solver, who applies pragmatic commercial thinking to every issue, and always strives to identify workable solutions that conform with the firm's regulatory obligations, and are aligned with its business priorities; Fast thinker, quick learner who is able to work efficiently and assess options thoroughly; Excellent communicator who articulates advice confidently and succinctly; Demonstrates high level of confidentiality, integrity and professionalism.