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Risk Management Analyst Jobs

57 Job Offers

Avp-analyst (digital finance & artificial intelligence risk management)
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India , Bengaluru
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Not provided
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Moody's
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Analyst, Credit Risk Management
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Join our Credit Risk Management team in St Petersburg. This entry-level analyst role supports risk assessment, reporting, and process improvement. Ideal candidates have a Finance/Business degree, foundational risk knowledge, and strong analytical skills. Grow your career in a dynamic financial en...
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United States , St Petersburg
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Raymond James
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Portfolio Credit Risk Management 2nd Lod Lead Analyst, Vice President
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Seeking a Vice President to lead Portfolio Credit Risk Management oversight in Getzville. This 2nd Line of Defense role requires 6-10 years' expertise in challenging credit analysis, stress testing, and limit methodologies. You will ensure robust risk management, protecting financial stability wh...
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United States , Getzville
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92000.00 - 138000.00 USD / Year
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Citi
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Risk Analyst - Operational Risk Management
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Deel
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Risk Analyst - Enterprise Risk Management
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Poland; Argentina; Colombia; Brazil; Mexico; Slovenia; Lithuania; Hungary; Bulgaria; Romania; Latvia; Czech Republic; Croatia; Slovakia
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Deel
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Senior Risk Analyst - Enterprise Risk Management
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Deel
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Senior Model Risk Management Analyst
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United States , Kansas City; New York; San Francisco; Sunnyvale
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125000.00 - 175000.00 USD / Year
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Lead Bank
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Analyst-risk management
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Join our new Financial Crimes Risk & Controls center of excellence in Gurugram. Utilize your 1-3 years of experience in data analytics, Python, SQL, and Power BI to build governance frameworks and dashboards that mitigate financial crime risks. Enjoy a competitive salary, comprehensive benefits, ...
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India , Gurugram
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Amex
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Risk Management Analyst, Sr.
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United States , Los Angeles
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75712.00 - 129792.00 USD / Year
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Children's Hospital Los Angeles
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Analyst - Client Risk Assessment and Controls Design – In Business Regulatory Risk Management
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Join our team in Chennai as a Client Risk Assessment and Controls Design Analyst. You will support regulatory risk management for UAE Wealth, designing controls and ensuring compliance with Citi's frameworks. This role requires 8-10 years' experience in financial services controls, regulatory cha...
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India , Chennai
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Citi
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Clinical Risk Management Analyst
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Seeking a Clinical Risk Management Analyst in Aurora. This role requires an RN license and 5+ years in healthcare risk/quality management. You will manage claims, investigate adverse events, and analyze data to drive process improvements. We offer comprehensive benefits including health plans, re...
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United States , Aurora
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38.20 - 57.30 USD / Hour
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Advocate Health Care
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Liquidity Risk Management Intermediate Analyst
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Join Citi's Treasury Organization as a Liquidity Risk Management Intermediate Analyst in Taguig. You will support the firm's liquidity framework, including stress testing, regulatory reporting (FR 2052a, LCR), and intraday liquidity. This role requires 2-5 years' experience, strong analytical ski...
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Philippines , Taguig
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Citi
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Liquidity Risk Management Intermediate Analyst
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Join Citi's Treasury Organization as a Liquidity Risk Management Intermediate Analyst in Taguig. You will support the firm's liquidity framework, including stress testing, regulatory reporting (FR 2052a, LCR, NSFR), and data analysis. The role requires 2+ years' financial services experience, adv...
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Philippines , Taguig
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Citi
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Liquidity Risk Management Senior Analyst
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Join Citi's Treasury team in Taguig as a Liquidity Risk Management Senior Analyst. You will manage liquidity risk, conduct stress testing, and oversee critical regulatory reporting (FR 2052a, LCR). The role requires 5+ years in financial services, advanced Excel skills, and strong analytical abil...
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Philippines , Taguig
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Citi
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Liquidity Risk Management Intermediate Analyst
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Join our Treasury team in Taguig as a Liquidity Risk Management Analyst. You will support critical regulatory reporting (FR 2052a, LCR, NSFR) and collaborate on stress testing and strategic planning. The role requires 2+ years in financial services, advanced Excel skills, and strong analytical ab...
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Philippines , Taguig
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Citi
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Liquidity Risk Management Intermediate Analyst
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Join our team in Taguig as a Liquidity Risk Management Intermediate Analyst. You will support the liquidity framework, regulatory reporting (FR 2052a, LCR), and data analysis. The role requires strong Excel skills, 2+ years in Financial Services, and expertise in regulatory guidelines. We offer c...
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Philippines , City of Taguig
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Citi
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Advisory Risk Management Analyst, Digital Payment
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Join our Risk Management team in Kuala Lumpur as a Digital Payment AML Analyst. Utilize your 5-8 years of experience and AML certification to assess risks and develop compliance programs for high-risk fintech clients. You will conduct due diligence and provide strategic oversight for digital paym...
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Malaysia , Kuala Lumpur
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Citi
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Non-Financial Risk analyst with focus on Project Risk Management
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Join Allianz in Barcelona as a Non-Financial Risk Analyst specializing in Project Risk Management. You will develop the risk framework, identify and mitigate project risks, and ensure compliance. This role requires 3-5 years' experience, strong analytical skills, and collaboration with internatio...
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Spain , Barcelona
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Allianz
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Sr Analyst, Credit Risk Management
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Join T-Mobile's Credit Risk Management team as a Senior Analyst in Strategy & Data Science. Develop predictive models using SQL/Python/R to drive credit policy and fraud prevention strategies. Analyze large datasets to deliver actionable insights and recommendations. This Overland Park role offer...
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United States , Overland Park
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T-Mobile
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Third Party Management Risk Senior Analyst
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Join Citi in Dublin as a Third Party Management Risk Senior Analyst. Apply your expertise in operational risk and regulatory policies within a dynamic European team. Enjoy a hybrid model, competitive salary, and comprehensive benefits in this key governance role.
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Ireland , Dublin
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Citi
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About the Risk Management Analyst role

Explore a rewarding career path with Risk Management Analyst jobs, a critical role in the modern financial and corporate landscape. Professionals in this field are the guardians of an organization’s financial health and reputation, tasked with identifying, assessing, and mitigating a wide spectrum of potential threats. These threats can range from credit and market volatility to operational failures and regulatory non-compliance. A Risk Management Analyst’s primary mission is to ensure that an institution can navigate uncertainty while maintaining stability and pursuing its strategic goals.

The typical responsibilities of a Risk Management Analyst are diverse and intellectually demanding. They involve developing and implementing risk assessment frameworks, conducting quantitative and qualitative analyses to measure exposure, and monitoring key risk indicators. Analysts often perform complex stress testing and scenario analysis to predict how adverse events—such as economic downturns or interest rate shifts—would impact the organization. They are responsible for calculating critical metrics like Earnings at Risk (EaR) and Capital at Risk (CaR), and they play a key role in managing credit reserves and ensuring the adequacy of capital. A significant part of the job involves preparing detailed reports and presentations for senior management and risk committees, translating complex data into actionable insights. Furthermore, these professionals work closely with other departments, such as finance, compliance, and product development, to ensure that new strategies and products align with the company’s risk appetite. They also oversee governance processes, ensuring compliance with internal policies and external regulatory requirements, and may manage internal audits or regulatory exams.

To succeed in Risk Management Analyst jobs, candidates typically need a strong educational foundation, often a bachelor’s degree in finance, economics, mathematics, or a related field, with a master’s degree or professional certifications like the FRM, CFA, or PRM being highly valued. Essential skills include advanced proficiency in financial modeling, statistical analysis, and risk management software. A deep understanding of accounting principles (both GAAP and STAT), regulatory frameworks (such as Basel III, SEC, or NAIC guidelines), and specific risk types (credit, market, liquidity, operational) is crucial. Beyond technical expertise, employers seek exceptional analytical and problem-solving abilities, strong communication skills for explaining complex risks to non-technical stakeholders, and the capacity to make independent, sound judgments under pressure. The role demands a proactive, curious mindset, a collaborative spirit, and a steadfast commitment to ethical conduct and protecting the organization’s integrity. Whether specializing in credit, market, or operational risk, these professionals are indispensable for building resilient and forward-thinking organizations.