CrawlJobs Logo
Briefcase Icon
Category Icon

Market Risk Analyst Jobs (Hybrid work)

7 Job Offers

Filters
Financial Solutions Senior Analyst - FRTB Market Risk
Save Icon
Join Citi in Warsaw as a Financial Solutions Senior Analyst specializing in FRTB Market Risk. You will calculate and analyze regulatory capital, ensuring compliance and driving process improvements. This role requires 4+ years in financial services, expertise in market risk or product control, an...
Location Icon
Location
Poland , Warsaw
Salary Icon
Salary
Not provided
https://www.citi.com/ Logo
Citi
Expiration Date
Until further notice
Non-Trading Market Risk Management Senior Analyst
Save Icon
Join Citi in Mumbai as a Non-Trading Market Risk Senior Analyst. You will develop and monitor the 1st line risk framework for Commodity, Equity, CSRBB, and FXRBB. The role requires 5+ years in risk management, treasury, and fixed income valuation, with strong analytical and presentation skills. W...
Location Icon
Location
India , Mumbai
Salary Icon
Salary
Not provided
https://www.citi.com/ Logo
Citi
Expiration Date
Until further notice
Non-Trading Market Risk Mgmt Sr. Analyst
Save Icon
Join Citi in Mumbai as a Non-Trading Market Risk Senior Analyst. You will enhance the first-line risk framework for Commodity, Equity, and CSRBB, focusing on analytics for CCAR, QMMF, and pensions. This role requires 5+ years in financial services, strong Excel skills, and knowledge of FXRBB and ...
Location Icon
Location
India , Mumbai
Salary Icon
Salary
Not provided
https://www.citi.com/ Logo
Citi
Expiration Date
Until further notice
Market Risk Senior Analyst
Save Icon
Join Citi's Market Risk team in Warsaw as a Senior Analyst. You will enhance risk models, ensure regulatory compliance, and own key projects using Python and SQL. This role offers collaboration with senior management, exposure to regulators, and a strong benefits package. Ideal for a quantitative...
Location Icon
Location
Poland , Warsaw
Salary Icon
Salary
Not provided
https://www.citi.com/ Logo
Citi
Expiration Date
Until further notice
Market Operations Risk & Control Analyst
Save Icon
Join our Markets Operations team in Belfast as a Risk & Control Analyst. You will support operational risk management, control testing, and incident analysis for financial products. This role requires risk framework knowledge, Excel proficiency, and strong communication skills. Gain valuable expe...
Location Icon
Location
United Kingdom , Belfast
Salary Icon
Salary
Not provided
https://www.citi.com/ Logo
Citi
Expiration Date
Until further notice
Business Risk Analyst – Markets 1LOD Control Testing - Vice President
Save Icon
Seeking a Vice President Business Risk Analyst in Singapore to lead 1LOD control testing for Markets. You will execute testing, supervise junior staff, and challenge stakeholders on control effectiveness. Requires 5+ years in FO controls testing, audit, or related discipline, with deep Markets bu...
Location Icon
Location
Singapore , Singapore
Salary Icon
Salary
Not provided
https://www.citi.com/ Logo
Citi
Expiration Date
Until further notice
Business Risk Analyst – Markets 1LOD Control Testing - Vice President
Save Icon
Seeking a Vice President Business Risk Analyst in Singapore to join our 1LOD Markets Control Testing team. You will execute control testing, supervise junior analysts, and provide expert challenge on risk management. Requires 5+ years in Front Office controls testing or audit, with deep Markets b...
Location Icon
Location
Singapore , Singapore
Salary Icon
Salary
Not provided
https://www.citi.com/ Logo
Citi
Expiration Date
Until further notice
Discover a world of opportunity with Market Risk Analyst jobs, a critical and intellectually stimulating career path at the heart of the financial industry. Market Risk Analysts are the sentinels of the financial world, tasked with identifying, measuring, and mitigating the potential for financial loss due to adverse movements in market prices. These professionals are essential for ensuring the stability and resilience of financial institutions, protecting them from volatility in areas such as interest rates, foreign exchange, equities, and commodities. If you have a passion for finance, a knack for quantitative analysis, and a meticulous eye for detail, a career as a Market Risk Analyst offers a challenging and rewarding trajectory. Professionals in these roles are primarily responsible for monitoring an institution's exposure to financial market fluctuations. A core part of their daily work involves calculating and analyzing key risk metrics. The most prominent of these is Value at Risk (VaR), which estimates the potential loss in a portfolio over a specific time frame. They also conduct stress testing and scenario analysis, simulating extreme but plausible market events to understand their impact on the firm's holdings. Beyond these calculations, Market Risk Analysts are responsible for developing and validating complex quantitative models used for risk measurement. They perform in-depth back-testing to compare model predictions against actual outcomes, ensuring the models remain accurate and effective. Their findings are then synthesized into comprehensive reports and dashboards, which are presented to senior management, traders, and regulatory bodies to inform strategic decision-making and ensure compliance. The typical skill set for a Market Risk Analyst is a powerful blend of quantitative prowess and sharp business acumen. A strong educational foundation is paramount, usually requiring at least a bachelor's degree in a quantitative field such as Finance, Economics, Mathematics, Statistics, or Engineering. Many senior positions prefer or require a master's degree or PhD. On the technical side, proficiency in programming languages like Python or R, along with SQL for database querying, is increasingly essential for data analysis and model development. A deep understanding of financial products—from simple stocks and bonds to complex derivatives—is non-negotiable. Furthermore, knowledge of global financial regulations (such as Basel III/IV) and the principles of econometrics and statistical modeling is highly valued. Crucially, these roles demand more than just number-crunching. Successful analysts possess excellent communication skills to translate complex quantitative concepts into clear, actionable insights for non-technical stakeholders. They are naturally curious, proactive problem-solvers with a strong sense of ownership and the ability to thrive in a fast-paced environment. Exploring Market Risk Analyst jobs means stepping into a profession that sits at the intersection of finance, technology, and regulation. It is a career built on continuous learning, offering the chance to work with cutting-edge analytical tools and methodologies to solve some of the most pressing challenges in modern finance. Whether you are an entry-level candidate or an experienced quantitative professional, the demand for skilled risk analysts remains consistently high, providing a stable and dynamic career path with significant potential for growth and impact within any major financial institution.

Filters

×
Countries
Category
Location
Work Mode
Salary