Market Risk Analyst
$150k - $200kFamily Office
Company Description Soros Fund Management LLC (SFM) is a global asset manager and family office founded by George Soros in 1970. With $28 billion in assets under management (AUM), SFM serves as the principal asset manager for the Open Society Foundations, one of the world’s largest charitable foundations dedicated to advancing justice, human rights, and democracy. Distinct from other investment platforms, SFM thrives on agility, acting decisively when conviction is high and exercising patience when it’s not. With permanent capital, a select group of major clients, and an unconstrained mandate, we invest opportunistically with a long‑term view in a wide range of strategies and asset classes, including public and private equity and credit, fixed income, foreign exchange, and alternative assets. Our teams operate with autonomy, while cross‑team collaboration strengthens our conviction and empowers us to capitalize on market dislocations. At SFM, we foster an ownership mindset, encouraging professionals to challenge the status quo, innovate, and take initiative. We prioritize development, enabling team members to push beyond their roles, voice bold ideas, and contribute to our long-term success. This culture of continuous growth and constructive debate fuels innovation and drives efficiencies. Our impact is measured by both the returns we generate and the values we uphold, from environmental stewardship to social responsibility. Operating as a unified team across geographies and mandates, we remain committed to our mission, ensuring a meaningful, lasting impact. Headquartered in New York City with offices in Greenwich, Garden City, London, and Dublin, SFM employs 200 professionals. Position Overview We are seeking a driven and analytical Market Risk Analyst to join our dynamic Risk Management team. This is a high‑impact role offering broad exposure across asset classes and investment strategies, from traditional to alternative investments. You will engage directly with portfolio managers, contribute to the firm’s risk oversight framework, support portfolio construction decisions, and help shape our evolving risk infrastructure. This is an exceptional opportunity for a curious and intellectually agile individual to deepen their understanding of global markets, risk modeling, and investment strategy—while working in a collaborative environment alongside experienced risk professionals, technologists, and investment teams. You will play a meaningful role in influencing investment decisions and shaping risk culture through insightful analysis. We value continuous learning and offer opportunities to further develop your technical skills and market expertise in a team that embraces a growth mindset. Major Responsibilities Build and enhance tools/dashboards/reports for risk monitoring and analysis. Monitor exposures, risk metrics, P&L, and mandates; identify and communicate emerging risks. Engage portfolio managers on limit process including setting new limits and managing breaches. Analyze performance drivers across diverse investment strategies and provide insight into returns. Support onboarding of new products and coordinate model enhancements with quant and tech teams. Develop and improve methodologies for sensitivities, stress testing, scenario analysis, and liquidity risk. Research quantitative framework used to guide portfolio construction and asset allocation process. Respond to ad hoc risk inquiries and present findings to Portfolio Managers. Partner with technology to transform risk tools and analytics into robust, scalable production systems. What we Value 5+ years of experience in risk management / modeling / quant role. Strong academic background in a quantitative or analytical field (e.g., Math, Engineering, Computer Science). Proficiency in Python and SQL is required; experience building analytical tools is highly desirable. Exceptional analytical reasoning skills, with the ability to derive clear conclusions from ambiguous data. Natural problem solver, intellectually curious and intuitive. Solid understanding of financial markets and instruments; familiarity with risk and valuation models. Effective communicator (oral and written) - able to distill complex ideas into clear, actionable insights. Self-starter with ability to work on multiple tasks with minimal supervision. Thrives in a team-oriented environment. Exceptional attention to detail. Prior experience with convex financial instruments, such as equity derivatives, is advantageous. Familiarity with Equity strategies and Macro/Equity Factor Models is beneficial but not mandatory. We anticipate the base salary of this role to be between $150,000-$200,000. In addition to a base salary, the successful candidate will also be eligible to receive a discretionary year‑end bonus. In all respects, candidates need to reflect the following SFM core values: Smart risk‑taking // Owner’s Mindset // Teamwork // Humility // Integrity #J-18808-Ljbffr
$150k - $200k
...Market Risk Analyst Soros Fund Management LLC (SFM) is a global asset manager and family office founded by George Soros in 1970. With $28 billion in assets under management (AUM), SFM serves as the principal asset manager for the Open Society Foundations, one of the...SuggestedPermanent employmentWork at office- ...Job Title Strong background in Capital Markets with hands on experience in Risk management Domain. Strong understanding of Credit Risk, Counterparty Credit Risk / Market Risk from an IT perspective. Strong experience in handling large transformation projects....Suggested
$100k - $150k
...intersection of reinsurance and capital markets? Do you enjoy solving complex problems in... ...Re's Alternative Capital Partners (ACP) Risk Management team and help oversee one of the... ...(Cat Bonds). About the Role As a Risk Analyst within ACP Risk Management, you will support...SuggestedFull timeWork at officeRemote workVisa sponsorshipRelocation packageFlexible hours- U.S. Bank is seeking a Market Risk Governance & Volcker Program Analyst in New York. This role includes supporting governance processes and risk reporting activities while partnering with senior team members across functions. The ideal candidate will have a Bachelor's...Suggested
$105k - $125k
BBVA Group is seeking a Market Risk Associate I in New York. This role involves analyzing risk profiles, producing and presenting risk reports, and participating in the model validation process. Candidates should have a Bachelor’s degree, knowledge of market risk measures...Suggested- Capula Investment Management LLP is looking for a Market Risk professional in New York to join their risk team. You will monitor and analyze market risks across portfolios and collaborate with traders and quantitative researchers. The ideal candidate will have a degree...
$55 - $65 per hour
CME Group Inc. is seeking a Market Risk Consultant located in New York, NY, to join their Securities Clearing House team. The consultant will be responsible for daily market risk monitoring and managing obligations in case of clearing member defaults, performing extensive...Hourly payContract work$111k - $130k
Morgan Stanley is seeking an Analyst, Fund Services, Client Services in New York, New York to support hedge funds in using proprietary applications... .... Responsibilities include performance analysis, portfolio risk measurement, and delivering quality user requirements. The ideal...$75k - $85k
Baldwin Group Colleague, Inc. is seeking a Human Capital Risk Analyst to join their employee benefits consulting team. This role includes creating financial dashboards, supporting RFP evaluations, and handling client inquiries. The ideal candidate will have a bachelor’...$54k - $101k
# Marketing Insights AnalystDoubleVerifyBe an Early ApplicantFull TimeentryNew York, New York, USPosted Today## Role OverviewDoubleVerify is hiring a entry-level Marketing Insights Analyst. This is a full-time role in New York. posted today. applications are still in the...Full time- ...PWX Solutions in New York, NY is looking for a Marketing Analytics Analyst to support the Analytics team by delivering actionable insights. This role involves maintaining reports, dashboards, and data quality to aid business decisions across marketing programs. The ideal...
$70k - $100k
...Join Mizuho as a Risk Tech Analyst! In this role, you will be part of the NPE (New product Enablement) team whose purpose is to support... ...quality, which is a critical function to ensure a rapid time to market of new products. Support Assist Quants, Risk...Work at officeLocal areaRemote workWorldwide$70k - $100k
...Join Mizuho as a Risk Tech Analyst! In this role, you will be part of the NPE (New product Enablement) team whose purpose is to support Quants... ..., which is a critical function to ensure a rapid time to market of new products. Support Assist Quants, Risk Analytics and Market...Work at officeLocal areaRemote work$75k - $95k
...Department Profile The cornerstone of Morgan Stanley’s risk management philosophy is the execution of risk-adjusted returns through... ...trading counterparties. Position Summary Morgan Stanley is seeking an Analyst for the Risk Capital group, based in New York. Risk Capital,...Temporary work- ...effort to coordinate analytics to enhance operational efficiencies and data accuracy. The Analyst will work with internal and external stakeholders in quantifying and analyzing risk results and practice patterns to explain and financial performance and key drivers. Scope...
- ...Jobot Consulting is seeking an experienced AI Risk & Compliance Analyst to join their Governance, Risk & Compliance team. The ideal candidate will have 5+ years of experience in governance and compliance, along with 2+ years specifically in AI governance. The role involves...
- ...seeks a talented governance professional to enhance its AI governance program based in New York, NY. You will manage AI compliance and risk assessments while collaborating with various teams to ensure the responsible usage of AI capabilities. The ideal candidate will have...
$97k - $132k
...platform so our customers can outpace their competition and the market. What unites Anaplanners across teams and geographies is our... ...and let’s build what’s next – together! As our new Third Party Risk Analyst , you will play a critical role in protecting Anaplan by...$45 - $50 per hour
...and Weekly Pay Key Responsibilities: Engage business partners in risk/control identification, documentation, mapping, and RCSA... ...Seniority level Mid-Senior level Employment type Contract Job function Analyst, Management, and Business Development Industries Financial Services...Weekly payContract workTemporary workRemote work- ...We partnered with a commercial bank is hiring an Enterprise Risk Analyst to support its Enterprise Risk Management (ERM) function. This role provides broad exposure across enterprise risk governance, risk reporting, and operational risk activities, with visibility to...
$70k - $90k
...cybersecurity ratings, with over 12 million companies continuously rated, operating in 64 countries. Founded in 2013 by security and risk experts Dr. Alex Yampolskiy and Sam Kassoumeh and funded by world-class investors, SecurityScorecard’s patented rating technology is...Full time$77.5k - $102k
...Family partner with agents and brokers to provide insurance solutions that enable businesses to manage risks with confidence. Job Description The Enterprise Risk Analyst supports the development, implementation, and continuous enhancement of the organization's Enterprise...Work at officeLocal area- ...working with a well-established financial services firm that is looking to bring on a Risk Analyst to their Enterprise Risk Management team. The role will primarily focus on their credit, market, and operational risk. Responsibilities : Design strategic...
- ...Interest in Computer Science, Information Systems, Cybersecurity, or a related field Experience in technology audit, governance, risk, and compliance, information security, or related field is preferred, and willingness to learn is required Experience working...Work at office
- ...Senior Catastrophe Risk Analyst If you're looking for the stability of a profitable, growing company with the entrepreneurial spirit... ...shapes risk management strategy, capital allocation, and external market positioning, directly influencing how SageSure protects...
- ...Fraud/Risk Analyst Fin is a next-generation payments platform built for high-value, global, and instant transactions. We are a Series A-stage company backed by Sequoia, Circle, and other notable investors. Powered by stablecoins, Fin enables users and businesses to...Worldwide
- ...Job Description AECOM Technical Services, Inc. is seeking a Risk Analyst in New York, NY: Job Details: Review project documents and analyze project data to develop risk profiles and risk registers for projects and programs Prepare and update project risk registers...Work at officeLocal areaFlexible hours
$45 - $50 per hour
...Role :- Third Party Risk Analyst/Banking - Required Location: Hybrid/Midtown New York City 3 days a week.Hybrid 1 year+ - Rate :- $50/hr on c2c pv rate Interview Required: Video Candidate Visa's Accepted : No Opt. Candidates must...Work at officeLocal areaRelocationFlexible hours3 days per week$140k - $185k
...Entry Private Markets Analyst – Career Launch AI Talent Network Location: New York, NY (Hybrid) Type: Full-Time Compensation: Typically $14... ...and presentation materials Help organize diligence findings, risks, and key assumptions Assist in preparing materials for internal...Full timeInternship- ...Title Social Media Marketing Location Fully Remote (EST Hours) Duration 12+ months Job Summary Seeking a highly experienced and proactive social media contractor to support Tier-1 event social strategy across the Client’s global events portfolio. This role will work closely...For contractorsRemote workFlexible hours
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