3,968 Senior Risk Manager jobs in the United States

Financial Risk Manager

83701 Hidden Springs, Idaho $130000 Annually WhatJobs

Posted 2 days ago

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Job Description

full-time
Our client, a leading financial institution, is seeking an experienced Financial Risk Manager to oversee and manage the company's risk exposure in Boise, Idaho, US . This role is critical in identifying, assessing, and mitigating various financial risks, including market risk, credit risk, operational risk, and liquidity risk. You will be responsible for developing and implementing comprehensive risk management frameworks, policies, and procedures to protect the organization's financial health and assets. The ideal candidate will possess a strong analytical background, a deep understanding of financial markets, and extensive experience in risk management methodologies. Key responsibilities include conducting in-depth risk analyses, developing quantitative models, and preparing detailed risk reports for senior management and regulatory bodies. You will monitor market trends and economic conditions to anticipate potential risks and opportunities. Collaboration with various departments, including trading, portfolio management, and compliance, is essential to ensure a cohesive approach to risk management. You will also be involved in stress testing, scenario analysis, and capital adequacy assessments. A Bachelor's or Master's degree in Finance, Economics, Mathematics, or a related quantitative field is required. Professional certifications such as FRM (Financial Risk Manager) or CFA (Chartered Financial Analyst) are highly desirable. A minimum of 7 years of progressive experience in financial risk management within the banking or financial services industry is preferred. Excellent communication, presentation, and interpersonal skills are essential for interacting with stakeholders at all levels. This is an exciting opportunity to play a key role in maintaining the financial stability and strategic direction of a prominent financial organization.
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Senior Financial Risk Manager

68101 Omaha, Nebraska $145000 Annually WhatJobs

Posted 1 day ago

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Job Description

full-time
Our client is seeking an experienced Senior Financial Risk Manager to join their reputable Banking & Finance division in Omaha, Nebraska, US . This hybrid role is essential for identifying, assessing, and mitigating a wide range of financial risks, including market risk, credit risk, operational risk, and liquidity risk. You will be responsible for developing and implementing robust risk management frameworks, policies, and procedures that align with regulatory requirements and the organization's strategic objectives. Key duties include conducting comprehensive risk assessments, stress testing portfolios, monitoring risk exposures, and developing risk mitigation strategies. The ideal candidate will possess a strong analytical acumen, a deep understanding of financial markets and instruments, and proficiency in risk modeling and quantitative analysis. You will collaborate closely with business units, internal audit, and compliance teams to ensure a holistic approach to risk management. This role requires excellent communication skills to articulate complex risk issues to senior management and the board. The ability to interpret regulatory guidance and translate it into practical risk management solutions is paramount. We are looking for a proactive and detail-oriented professional who can contribute to a culture of strong risk awareness and responsible financial management. This position offers a blend of on-site collaboration for strategic meetings and team building, with remote flexibility for individual analytical work, based in our Omaha, Nebraska, US offices. Contribute to the financial stability and success of our organization.
Key Responsibilities:
  • Identify, assess, and monitor financial risks across the organization.
  • Develop and implement effective risk management policies and procedures.
  • Conduct stress testing and scenario analysis.
  • Analyze financial data to identify trends and potential risk exposures.
  • Collaborate with business units to ensure risk mitigation strategies are in place.
  • Prepare risk reports for senior management and regulatory bodies.
  • Stay current with regulatory changes and industry best practices in risk management.
  • Advise on risk appetite and tolerance levels.
Qualifications:
  • Master's degree in Finance, Economics, Mathematics, or a related field.
  • 5+ years of experience in financial risk management, preferably within the banking sector.
  • Strong understanding of financial markets, instruments, and risk management principles.
  • Proficiency in risk modeling, statistical analysis, and data analysis tools.
  • Knowledge of regulatory frameworks (e.g., Basel III, Dodd-Frank).
  • Excellent analytical, problem-solving, and communication skills.
  • Ability to work effectively in a hybrid work environment.
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Senior Financial Risk Manager

32202 Riverview, Florida $110000 Annually WhatJobs

Posted 1 day ago

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Job Description

full-time
Our client, a leading global financial institution, is seeking a highly accomplished Senior Financial Risk Manager to join their fully remote team. This vital role is responsible for identifying, assessing, and mitigating a wide range of financial risks across the organization. The ideal candidate will possess extensive experience in risk management frameworks, regulatory compliance, and sophisticated quantitative analysis within the banking sector.

Responsibilities:
  • Develop, implement, and maintain robust risk management frameworks and policies across various business lines.
  • Conduct comprehensive risk assessments, including credit risk, market risk, operational risk, liquidity risk, and compliance risk.
  • Analyze financial data and market trends to identify emerging risks and develop appropriate mitigation strategies.
  • Design and implement stress testing scenarios and contingency plans to evaluate the organization's resilience.
  • Ensure compliance with all relevant financial regulations and reporting requirements (e.g., Basel III, Dodd-Frank).
  • Develop and manage risk models, methodologies, and tools for effective risk measurement and monitoring.
  • Collaborate with business units to embed risk management principles into daily operations and decision-making processes.
  • Prepare detailed risk reports and present findings and recommendations to senior management and regulatory bodies.
  • Lead and mentor a team of risk professionals, fostering a culture of risk awareness and accountability.
  • Stay abreast of industry best practices, regulatory changes, and emerging risks in the financial services landscape.
Qualifications:
  • Master's degree in Finance, Economics, Statistics, Mathematics, or a related quantitative field. Professional certifications such as FRM or CFA are highly desirable.
  • Minimum of 8 years of progressive experience in financial risk management within the banking or financial services industry.
  • In-depth knowledge of various financial risk types and mitigation strategies.
  • Proven experience in developing and implementing enterprise-wide risk management frameworks.
  • Strong quantitative and analytical skills, with expertise in statistical modeling and risk analytics.
  • Familiarity with regulatory requirements and reporting standards in the financial industry.
  • Excellent leadership, communication, and interpersonal skills, with the ability to influence stakeholders at all levels.
  • Proficiency in risk management software and data analysis tools.
  • Ability to manage complex projects and deadlines effectively in a remote setting.
  • Strategic thinking and a proactive approach to risk identification and management.
This is a significant opportunity for an experienced risk professional to drive risk management excellence and contribute to the stability and success of a major financial institution from a remote location.
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Senior Financial Risk Manager

28202 Charlotte, North Carolina $110000 Annually WhatJobs

Posted 1 day ago

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Job Description

full-time
Our client, a leading financial institution, is seeking an experienced Senior Financial Risk Manager to join their team in **Charlotte, North Carolina, US**. This role is essential for identifying, assessing, and mitigating a wide range of financial risks across the organization, including credit risk, market risk, operational risk, and liquidity risk. You will be responsible for developing and implementing robust risk management frameworks, policies, and procedures. Key duties include conducting risk assessments, stress testing, scenario analysis, and capital adequacy evaluations. You will also play a vital role in monitoring regulatory compliance and ensuring adherence to industry best practices and internal guidelines. The ideal candidate will possess a deep understanding of financial markets, complex financial instruments, and regulatory requirements (e.g., Basel III, Dodd-Frank). Strong analytical, quantitative, and problem-solving skills are paramount, along with exceptional communication and stakeholder management abilities. You will be expected to collaborate effectively with various business units, senior management, and regulatory bodies. This is an opportunity to contribute to the stability and integrity of the financial system by safeguarding the institution from potential threats. A Bachelor's or Master's degree in Finance, Economics, Statistics, or a related quantitative field is required. Professional certifications such as FRM (Financial Risk Manager) or CFA (Chartered Financial Analyst) are highly desirable. A minimum of 7 years of progressive experience in financial risk management within the banking or financial services sector is essential. Join our client and play a crucial role in navigating the complex financial landscape.
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Senior Financial Risk Manager

77002 Houston, Texas $130000 Annually WhatJobs

Posted 1 day ago

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Job Description

full-time
Our client is seeking an experienced Senior Financial Risk Manager to join their esteemed financial institution in Houston, Texas, US . This hybrid role demands a strategic leader to oversee and enhance the organization's risk management framework, ensuring compliance with regulatory requirements and safeguarding assets. The Senior Financial Risk Manager will be instrumental in identifying, assessing, and mitigating a broad spectrum of financial risks, including market risk, credit risk, operational risk, and liquidity risk. Key responsibilities involve developing and implementing robust risk policies and procedures, conducting comprehensive risk assessments, stress testing, and scenario analysis. You will manage a team of risk analysts, guiding their work in monitoring risk exposures, developing risk metrics, and preparing insightful reports for senior management and regulatory bodies. A deep understanding of financial markets, banking regulations (e.g., Basel III, Dodd-Frank), and quantitative risk methodologies is crucial. The ideal candidate possesses a Master's degree in Finance, Economics, Statistics, or a related field, along with a minimum of 8 years of progressive experience in financial risk management, preferably within a large banking or financial services organization. Certifications such as FRM, PRM, or CFA are highly valued. Excellent leadership, communication, and interpersonal skills are essential for effective collaboration across departments and with external stakeholders. This is a vital role contributing to the financial stability and strategic direction of the company.

Responsibilities:
  • Develop, implement, and maintain the enterprise-wide risk management framework.
  • Identify, assess, and monitor key financial risks across the organization.
  • Design and execute stress testing and scenario analysis programs.
  • Ensure compliance with all relevant banking regulations and guidelines.
  • Manage and mentor the risk management team.
  • Prepare comprehensive risk reports for executive management and regulatory authorities.
  • Develop and refine risk models and methodologies.
  • Advise business units on risk mitigation strategies.
  • Contribute to strategic planning by providing risk insights.
Qualifications:
  • Master's degree in Finance, Economics, Statistics, or a related quantitative field.
  • 8+ years of experience in financial risk management.
  • Proven track record in managing market, credit, operational, and liquidity risks.
  • Strong knowledge of banking regulations and compliance.
  • Expertise in quantitative risk assessment techniques and financial modeling.
  • Professional certifications (FRM, PRM, CFA) are a strong asset.
  • Demonstrated leadership and team management capabilities.
  • Excellent analytical, problem-solving, and decision-making skills.
  • Superior communication and presentation skills.
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Senior Financial Risk Manager

80901 Colorado Springs, Colorado $135000 Annually WhatJobs

Posted 2 days ago

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Job Description

full-time
Our client is seeking a seasoned Senior Financial Risk Manager to join their esteemed insurance company, operating from Colorado Springs, Colorado, US . This hybrid role demands a strategic thinker with extensive experience in identifying, assessing, and mitigating financial risks across the organization. You will be responsible for developing and implementing robust risk management frameworks, policies, and procedures to safeguard the company's financial health and ensure regulatory compliance.

Key Responsibilities:
  • Develop, implement, and maintain comprehensive financial risk management frameworks and policies.
  • Identify, assess, and monitor key financial risks, including market risk, credit risk, liquidity risk, and operational risk.
  • Design and implement risk mitigation strategies and controls.
  • Conduct stress testing and scenario analysis to evaluate the company's resilience to adverse financial conditions.
  • Prepare detailed risk reports and present findings and recommendations to senior management and the board of directors.
  • Ensure compliance with relevant financial regulations and industry best practices.
  • Collaborate with internal audit, compliance, and business units to embed a strong risk culture throughout the organization.
  • Evaluate and recommend tools and technologies for risk management.
  • Stay informed about emerging financial risks and regulatory changes.
  • Mentor and guide junior risk analysts.

Qualifications:
  • Master's degree in Finance, Economics, Statistics, Mathematics, or a related quantitative field.
  • Minimum of 8 years of progressive experience in financial risk management, preferably within the insurance or financial services industry.
  • Proven expertise in identifying, measuring, and managing various financial risks.
  • Strong understanding of regulatory requirements (e.g., Solvency II, Dodd-Frank) and risk management frameworks.
  • Proficiency in financial modeling, statistical analysis, and risk management software.
  • Excellent analytical, problem-solving, and decision-making skills.
  • Exceptional written and verbal communication and presentation skills.
  • Ability to work effectively in a hybrid environment, managing both remote and in-office responsibilities.
  • Professional certifications such as FRM, PRM, or CFA are highly desirable.
This role is vital for maintaining the financial integrity of our client's operations in Colorado Springs, Colorado, US .
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Senior Financial Risk Manager

32801 Orlando, Florida $130000 Annually WhatJobs

Posted 2 days ago

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Job Description

full-time
Our client, a prominent financial institution, is actively seeking a highly experienced Senior Financial Risk Manager to join their dynamic team. This role involves a hybrid work arrangement, combining the flexibility of remote work with essential in-office collaboration in Orlando, Florida, US . The Senior Financial Risk Manager will be instrumental in developing, implementing, and overseeing the organization's comprehensive risk management framework. This includes identifying, assessing, and mitigating financial risks across various business units, ensuring compliance with regulatory requirements, and contributing to strategic decision-making. The ideal candidate will possess a profound understanding of financial markets, complex financial instruments, and quantitative risk modeling techniques. You will play a critical role in safeguarding the company's financial health and promoting a strong risk-aware culture.

Key responsibilities include:
  • Developing, implementing, and maintaining the enterprise-wide risk management framework, policies, and procedures.
  • Identifying, assessing, and quantifying financial risks, including market risk, credit risk, liquidity risk, and operational risk.
  • Conducting stress testing and scenario analysis to evaluate the impact of adverse economic conditions on the organization's financial position.
  • Monitoring risk exposures and key risk indicators (KRIs), and reporting on risk levels to senior management and regulatory bodies.
  • Developing and validating risk models, including VaR, Expected Shortfall, and credit valuation adjustments (CVA).
  • Ensuring compliance with relevant financial regulations and guidelines (e.g., Basel III, Dodd-Frank).
  • Collaborating with business units to embed risk management principles into daily operations and strategic initiatives.
  • Providing expert advice and guidance on risk-related matters to stakeholders across the organization.
  • Leading and mentoring junior risk professionals.
  • Staying abreast of emerging risks and regulatory changes impacting the financial services industry.

Qualifications:
  • Master's degree in Finance, Economics, Mathematics, Statistics, or a related quantitative field.
  • 7+ years of progressive experience in financial risk management within the banking or financial services sector.
  • Strong understanding of financial markets, instruments, and derivatives.
  • Expertise in quantitative risk modeling and statistical analysis.
  • Proficiency in risk management software and data analysis tools (e.g., R, Python, MATLAB).
  • In-depth knowledge of regulatory frameworks and compliance requirements.
  • Excellent analytical, problem-solving, and communication skills.
  • Proven ability to manage complex projects and lead cross-functional teams.
  • FRM, CFA, or PRM certifications are highly desirable.

This hybrid role offers a unique opportunity to shape risk strategy and contribute to financial stability. The designated location for required in-office presence is Orlando, Florida, US .
Apply Now
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Senior Financial Risk Manager

60601 Chicago, Illinois $160000 Annually WhatJobs

Posted 5 days ago

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Job Description

full-time
Our client is seeking a seasoned Senior Financial Risk Manager to lead their risk management functions. This role is crucial for identifying, assessing, and mitigating a wide range of financial risks, including market risk, credit risk, operational risk, and liquidity risk. You will be responsible for developing and implementing robust risk management frameworks, policies, and procedures to safeguard the organization's assets and reputation. The ideal candidate will possess extensive experience in financial risk management, a deep understanding of regulatory requirements (e.g., Basel Accords), and strong analytical and quantitative skills. Key responsibilities include conducting risk assessments, developing risk models, monitoring risk exposures, and reporting to senior management and regulatory bodies. You will lead a team of risk professionals, fostering a culture of risk awareness and compliance throughout the organization. This position requires excellent leadership, communication, and strategic thinking abilities. You will play a pivotal role in ensuring the financial stability and sustainability of the company. This role operates on a hybrid model, allowing for collaborative team work in the office and focused analytical tasks remotely.

Responsibilities:
  • Develop and implement comprehensive enterprise-wide risk management frameworks.
  • Identify, assess, and quantify financial risks across the organization.
  • Design and validate risk models, including VaR, stress testing, and scenario analysis.
  • Monitor risk exposures against established limits and appetite.
  • Prepare and present risk reports to senior management, the board, and regulators.
  • Lead and mentor a team of risk management professionals.
  • Ensure compliance with relevant financial regulations and industry best practices.
  • Develop and implement policies and procedures for risk mitigation.
  • Oversee operational risk management initiatives.
  • Contribute to strategic decision-making by providing insights on risk implications.
Qualifications:
  • Master's degree in Finance, Economics, Mathematics, or a related field; MBA or CFA is a plus.
  • 10+ years of progressive experience in financial risk management within a banking or financial institution.
  • In-depth knowledge of various risk types (market, credit, operational, liquidity).
  • Strong understanding of regulatory frameworks such as Basel III.
  • Proficiency in risk modeling and quantitative techniques.
  • Excellent analytical, problem-solving, and decision-making skills.
  • Strong leadership and team management abilities.
  • Exceptional communication and interpersonal skills.
  • Experience with risk management software and tools.
Apply Now

Senior Financial Risk Manager

64101 Kansas City, Missouri $130000 Annually WhatJobs

Posted 5 days ago

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Job Description

full-time
Our client, a prestigious banking institution, is actively seeking a highly experienced Senior Financial Risk Manager to join their fully remote team. This pivotal role, supporting operations linked to **Kansas City, Missouri, US**, involves the comprehensive oversight and management of the firm's financial risk exposures. You will be instrumental in developing and implementing robust risk management frameworks, policies, and strategies across various financial instruments and markets. The ideal candidate is a seasoned professional with extensive knowledge of market risk, credit risk, operational risk, and regulatory compliance, capable of providing strategic guidance from a remote setting. This is an outstanding opportunity for a leader in risk management to influence the organization's financial stability and strategic direction.

Responsibilities:
  • Develop, implement, and maintain the enterprise-wide risk management framework, policies, and procedures.
  • Identify, assess, and monitor key financial risks, including market risk, credit risk, liquidity risk, and operational risk.
  • Design and oversee the implementation of risk mitigation strategies and contingency plans.
  • Conduct stress testing and scenario analysis to evaluate the firm's resilience to adverse market conditions.
  • Ensure compliance with all relevant financial regulations and reporting requirements (e.g., Basel Accords, Dodd-Frank).
  • Collaborate with business units to embed risk management principles into daily operations and decision-making.
  • Prepare and present comprehensive risk reports to senior management, the Board of Directors, and regulatory bodies.
  • Lead and mentor a team of risk management professionals, fostering a culture of risk awareness and best practices.
  • Stay abreast of emerging risk trends, market developments, and regulatory changes impacting the financial industry.
  • Evaluate and recommend enhancements to risk management systems and technologies.
  • Act as a subject matter expert on risk-related matters for the organization.
  • Champion the adoption of a strong risk culture throughout the firm.
Qualifications:
  • Master's degree in Finance, Economics, Statistics, Mathematics, or a related quantitative field. CFA or FRM certification is highly desirable.
  • Minimum of 8 years of progressive experience in financial risk management within the banking or financial services sector.
  • Extensive knowledge of various risk types (market, credit, liquidity, operational) and quantitative risk modeling techniques.
  • Demonstrated experience in developing and implementing risk management frameworks and policies.
  • In-depth understanding of financial regulations and compliance requirements.
  • Proven leadership and team management skills, with the ability to inspire and guide a remote team.
  • Exceptional analytical, problem-solving, and decision-making abilities.
  • Excellent written and verbal communication skills, with the ability to present complex information clearly to diverse audiences.
  • Proficiency in risk management software and tools.
  • Ability to work autonomously and effectively manage responsibilities in a fully remote work environment.
This is a fully remote position that offers the flexibility to work from anywhere, while supporting our clients and operations associated with **Kansas City, Missouri, US**.
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Senior Financial Risk Manager

45202 Cincinnati, Ohio $160000 Annually WhatJobs

Posted 5 days ago

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Job Description

full-time
Our client, a prominent financial institution, is seeking a highly experienced Senior Financial Risk Manager to join their esteemed team in **Cincinnati, Ohio, US**. This on-site role is critical for identifying, assessing, and mitigating financial risks across the organization. You will be responsible for developing and implementing robust risk management frameworks, policies, and procedures, ensuring compliance with regulatory requirements. The ideal candidate possesses deep expertise in credit risk, market risk, operational risk, and liquidity risk, along with a proven ability to lead risk initiatives and guide cross-functional teams. You will play a pivotal role in safeguarding the company's financial stability and strategic objectives.

Responsibilities:
  • Develop, implement, and maintain comprehensive risk management frameworks, policies, and procedures.
  • Identify, assess, and monitor key financial risks, including credit, market, operational, and liquidity risk.
  • Conduct stress testing and scenario analysis to evaluate the impact of adverse market conditions.
  • Develop and manage risk metrics and Key Risk Indicators (KRIs) to track risk exposure.
  • Ensure compliance with all relevant regulatory requirements (e.g., Basel III, Dodd-Frank).
  • Lead risk assessment reviews and provide recommendations for risk mitigation strategies.
  • Collaborate with business units to integrate risk management principles into their operations.
  • Prepare comprehensive risk reports for senior management, the board of directors, and regulatory bodies.
  • Mentor and develop junior risk management professionals.
  • Stay current with emerging risk trends and best practices in the financial industry.
  • Oversee the development and implementation of risk management systems and tools.
Qualifications:
  • Master's degree in Finance, Economics, Mathematics, Statistics, or a related quantitative field.
  • Minimum of 7 years of progressive experience in financial risk management within the banking or financial services industry.
  • In-depth knowledge of various risk types (credit, market, operational, liquidity) and relevant regulatory frameworks.
  • Proven experience in developing and implementing risk management policies and frameworks.
  • Strong analytical, quantitative, and problem-solving skills.
  • Excellent communication, presentation, and interpersonal skills, with the ability to influence stakeholders at all levels.
  • Proficiency in risk modeling software and statistical analysis tools.
  • Experience with regulatory compliance and reporting is essential.
  • Professional certifications such as FRM or PRM are highly desirable.
  • Ability to lead teams and manage complex projects.
Join a leading financial institution in **Cincinnati, Ohio, US**, and contribute to maintaining its strong financial health and strategic direction.
Apply Now
 

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