Vice President - Valuation Risk Controller Morgan StanleyVice President - Valuation Risk ControllerNew 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. We're seeking someone to join our Valuation Control team as a Valuation Risk Controller in Finance to undertake Independent Price Verification (IPV) of a global portfolio of assets using external data sources and financial models.
Executive Director Operational Risk Management, Investment Management Madison-DavisExecutive Director Operational Risk Management, Investment ManagementNew York, NYThis Executive Director-level opportunity sits within the Global Operational Risk Management function of a leading international financial services firm, serving as the senior risk leader with oversight of the Investment Management Division across the US and international regions. It's an ideal seat for a seasoned operational risk professional who is ready to shape risk culture, drive global consistency, and operate as a credible independent voice at the most senior levels of a globally integrated organization.
Asset & Wealth Management, PWM, Global Risk Management Team, Associate - New York The Goldman Sachs Group IncAsset & Wealth Management, PWM, Global Risk Management Team, Associate - New YorkNew York, NY$85,000–$160,000 / yearWealth Management Financial Risk Management Team members will gain exposure and access to senior managers in PWM, build expertise in risk analysis and risk management, and develop a deeper understanding of the WM business on a macro level. PWM assists clients with building and preserving their financial wealth by creating and implementing long-term asset allocation within the context of each client's particular risk tolerance, and by providing access to innovative investment ideas and opportunities.
Investment Risk Manager - Liquidity | NYC Daley and AssociatesInvestment Risk Manager - Liquidity | NYCNYC, NY$175,000–$190,000 / yearThis is a strong fit for a liquidity risk professional who wants to support short-term investment strategies, partner closely with investment teams, contribute to a major Aladdin implementation, and join a collaborative, low-ego investment risk culture. This role provides independent oversight of the firm’s short-term investment business by delivering rigorous portfolio analytics, actionable risk insights, and clear communication to Portfolio Managers and senior stakeholders.
Regional Risk Manager Tutor PeriniRegional Risk ManagerNew Rochelle, New YorkFrom coast to coast, notable projects include The Purple Line (D Line) Extensions in Los Angeles, SR 99 Viaduct replacement tunnel in Seattle, East Side Access projects and the Hudson Yards Platform in New York, Central Subway Third Street Light Rail in San Francisco, and multiple airport expansions and bridge projects. As a Regional Risk Manager at Tutor Perini Corporation., you will have the opportunity to: Manage the overall insurance program for assigned business units, including policy renewals, risk assessments, and program optimization to ensure proper coverage and cost control.
NewCyber - Physical Security - Senior Manager Deloitte Touche Tohmatsu LtdCyber - Physical Security - Senior ManagerNew York, NY$163,400–$322,100 / yearRequired: Bachelor's degree in security management, risk management, emergency management, criminal justice, international relations, intelligence studies, engineering, homeland security, public administration, or infrastructure protection, or equivalent work experience. As a Physical Security Senior Manager on the Physical Security consulting team, you will be responsible for: Leading client engagements focused on physical security strategy, operating model transformation, and program alignment with business objectives, operational priorities, and enterprise risk management initiatives.
Year-Round Part-Time Intern, Risk Management & Shared Treasury National Grid PlcYear-Round Part-Time Intern, Risk Management & Shared TreasuryHicksville, NY$22–$35 / hourQualified applicants will be kept to a maximum of 20 hours per week while school is in session, with the possibility of more hours on winter and summer breaks and must commit to an internship experience of at least one year in duration. Please note that as a Intern, you must reside within our existing footprint, which includes Massachusetts, New York, New Jersey, Pennsylvania, Connecticut, New Hampshire, Maine, Rhode Island, and Vermont.
Investment Risk Manager – Liquidity | NYC | Hybrid Daley and AssociatesInvestment Risk Manager – Liquidity | NYC | HybridNew York, NY$190,000–$215,000 / yearThis is a senior individual contributor opportunity for someone with strong money market, credit, and investment risk experience who can partner closely with Portfolio Managers and investment teams. Excellent communication skills with the ability to explain technical risk analysis to Portfolio Managers and investment professionals.
Associate Director, Quality Risk Specialist (GCP) Bristol-Myers Squibb CoAssociate Director, Quality Risk Specialist (GCP)New Brunswick, NJ$163,850–$198,543 / yearProject Management: Must be able to manage complex assignments/projects and effectively deliver all expected deliverables in a timely manner and proactively communicate changes in pre-established goals and deadlines. The Associate Director, RBQM will mainly be responsible for developing the Quality Narrative at the study and/or ASSET and TA levels to document end-to-end RBQM for critical to quality (CtQ) data, processes, and vendors, demonstrating effective risk and issue management.
Senior Vice President, Line of Business Risk The Bank of New York Mellon CorpSenior Vice President, Line of Business RiskNew York, NY$104,000–$147,000 / yearIn this role, youll make an impact in the following ways: Responsible for the second line of defense on-going independent oversight, challenge and advice on day-to-day operational risk management for Conventional Trust, Structured Debt, and Credit Services client platforms, as well as the Loans Enablement enterprise platform. Independently oversee and monitor the Platforms Risk and Control Self-Assessment (RCSA) including review, guidance, challenge and approval for risk acceptance, action closure, manual processes and concurring to the RCSA accuracy annually, ensuring that it continuously reflects the Platforms operational risks and control environment.
VP Infrastructure & Power Credit Risk, Project Finance Madison-DavisVP Infrastructure & Power Credit Risk, Project FinanceNew York, NYThis Vice President opportunity sits within the Corporate and Structured Credit Risk team of a leading global financial institution, focused on credit risk coverage of infrastructure and power transactions across a diverse range of asset classes including Solar, Wind, BESS, CCGT, Data Centers, Fiber, and LNG at various stages of development, construction, and operation. Analyze credit risks associated with infrastructure and power sector transactions across multiple asset types including power and energy, transportation, and digital infrastructure;renewable power project finance experience strongly preferred.
VP, Finance North America Specialty Risk Amtrust Financial Services IncVP, Finance North America Specialty RiskNew York, NY$165,300–$250,000 / yearSalaries are based upon a wide range of factors considered in making the compensation decision, including, but not limited to, candidate skills, experience, education and training, the scope and responsibilities of the role, as well as market and business considerations. AmTrust values excellence and recognizes that by embracing the diverse backgrounds, skills, and perspectives of its workforce, it will sustain a competitive advantage and remain an employer of choice.
Lead Market Risk Officer for Rates Trading, Repo & Structured Financing Risk Wells Fargo BankLead Market Risk Officer for Rates Trading, Repo & Structured Financing RiskNew York, New YorkDemonstrated experience in market risk management, trading, quantitative analysis, or a related capital markets function, with strong expertise in either (i) interest rate derivatives, including rates options or (ii) fixed income, structured credit, and financing products, including repo, reverse repo, CLOs, RMBS, ABS, and corporate credit. Provide senior market risk coverage, independent challenge, and oversight across the Swaps, Treasury, Agency, Repo & Structured Financing trading desks, and serving as the Lead Market Risk Officer for designated trading desks and a key contributor to coverage of the remaining businesses.
2027 Summer Intern - Risk Group - Sophomore Intern The Federal Reserve System2027 Summer Intern - Risk Group - Sophomore InternNew York, NYGenerate reports, prepare inventories, plans, assessments, analyses, and other analytic and guidance documents to drive effective risk management practices using tools such as Excel, PowerPoint, SharePoint, and Tableau. Always verify and apply to jobs on Federal Reserve System Careers ( https://rb.wd5.myworkdayjobs.com/FRS ) or through verified Federal Reserve Bank social media channels.
Manager - eCommerce Operations - Project Management Hermes International SAManager - eCommerce Operations - Project ManagementManhattan, NY$100,000–$120,000 / yearThe Opportunity: The eCommerce Operations Manager - Project Management will work closely with internal business partners to improve the workflow and drive operational successes based on the established strategy and in support of the department's ongoing business objectives. This position requires proactively recommending changes and assisting in implementing new procedures and processes for data flow to the OMS, inventory reconciliation within the OMS facilitated by SAP, client services functions, and retail initiatives through omnichannel.
Sr. Director, Insurance Portfolio Management National Life Holding CompanySr. Director, Insurance Portfolio ManagementNew York, NY$206,250–$302,500 / yearThe base pay range for this position is the range National Life reasonably and in good faith expects to pay for the position taking into account the wide variety of factors, including: prior experience and job-related knowledge; education, training and certificates; current business needs; and market factors. This role monitors asset allocation including fixed income and alternative investments, liquidity management, and asset-liability matching strategies to support the company's long-term financial stability.
Treasury Liquidity & Interest Rate Risk Analytics JPMorgan Chase Bank, N.A.Treasury Liquidity & Interest Rate Risk AnalyticsNew York, NYFull timeAs a Treasury Associate within Asset and Wealth Management (AWM), you will collaborate with senior management and cross-functional teams to develop and enhance frameworks that promote insights into Interest Rate Risk and Liquidity Risk. JPMorganChase, one of the oldest financial institutions, offers innovative financial solutions to millions of consumers, small businesses and many of the world's most prominent corporate, institutional and government clients under the J.P.
AI and Technology Risk Management Lawyer Mayer Brown LLPAI and Technology Risk Management LawyerNew York, New YorkFull timeThis is a strategic and evolving role at the forefront of legal innovation, responsible for advising on risk, professional responsibility, and regulatory issues arising from the firm’s use of emerging technologies, including GenAI tools, agentic AI, traditional AI, data driven platforms, automation solutions, and legal tech systems, as well as client-facing technology-enabled services. We are a collegial, collaborative firm where highly motivated individuals with an unwavering commitment to excellence receive the opportunity, support, and development they need to grow, thrive, and realize their greatest potential all while supporting the Firm’s client service principles of excellence, strategic partnership, commercial instinct, integrated strengths, innovation, and collaboration across our international firm.
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.
Director, Product Manager (Portfolio Margin And Risk) Galaxy DigitalDirector, Product Manager (Portfolio Margin And Risk)New York, NY$250,000–$270,000 / yearIf your experience is primarily from a large bank or institution, you must demonstrate that you have operated effectively in ambiguous or grey environments - driving new builds, defining frameworks from scratch, and navigating incomplete specifications without relying on rigid legacy processes. Strong preference for experience at client-facing, risk-taking trading firms such as options market makers, prime brokers, exchanges, or IB sales & trading desks - especially where you've built or enhanced automated / low-touch risk and margin systems.