Market Risk Consultant Murex/Financial Markets
Compunnel, Inc.
Market Risk Consultant Murex/Financial Markets Job Description Job Summary The Market Risk Consultant will support market risk management, valuation, risk analytics, and regulatory initiatives across financial markets and trading businesses. This role requires strong expertise in capital markets products, market risk methodologies, and hands‑on experience with the Murex MX.3 platform. The consultant will collaborate with Front Office, Risk, Treasury, Quantitative Analytics, Technology, and Operations teams to enhance risk management capabilities and support strategic initiatives. Key Responsibilities Support and enhance market risk frameworks, including Value at Risk (VaR), sensitivity analysis, and other risk measurement methodologies. Monitor, analyze, and report market risk exposures across trading portfolios. Identify, assess, and escalate market risk issues and potential exposures. Utilize the Murex MX.3 platform to support market risk processes and business requirements. Support configuration, testing, maintenance, and enhancement of Murex market risk modules. Collaborate with technology teams to support system integrations, platform upgrades, issue resolution, and process improvements. Participate in System Integration Testing (SIT), User Acceptance Testing (UAT), and validation activities for Murex implementations and enhancements. Analyze pricing, valuation, sensitivities, and hedging impacts across financial products and trading portfolios. Support exposure analysis, risk reporting, and model validation initiatives. Partner with Front Office, Trading, Market Risk, Treasury, Quantitative Analytics, Technology, and Operations teams to support business objectives. Gather, analyze, and document business requirements and translate them into functional specifications. Facilitate workshops and provide subject matter expertise for market risk and risk technology initiatives. Support regulatory, audit, and governance activities related to market risk management. Contribute to process improvements, risk reporting enhancements, and operational efficiency initiatives. Required Qualifications Bachelor’s or Master’s degree in Finance, Mathematics, Engineering, Economics, Statistics, or a related field. 5+ years of experience in Market Risk, Capital Markets, Risk Management, or Risk Technology. 3+ years of hands‑on experience with the Murex MX.3 platform, specifically supporting Market Risk modules. Strong knowledge of capital markets products, financial instruments, and trade lifecycle processes. Experience with market risk methodologies, including Value at Risk (VaR), sensitivity analysis, and risk exposure management. Understanding of pricing, valuation, risk analytics, and hedging concepts across financial products. Experience gathering business requirements and developing functional specifications. Strong analytical, problem‑solving, and communication skills. Ability to collaborate effectively with business, risk, quantitative, and technology teams. Ability to work within the EST time zone. Preferred Qualifications Experience supporting regulatory risk management initiatives within financial institutions. Experience with risk reporting, model validation, and risk analytics frameworks. Familiarity with financial derivatives, structured products, and fixed income instruments. Experience supporting Murex upgrades, enhancements, and implementation projects. Knowledge of market risk governance, controls, and compliance requirements. Experience working in large‑scale banking, capital markets, or financial services environments. #J-18808-Ljbffr Compunnel, Inc.
- Compunnel, Inc. is seeking a Market Risk Consultant to support market risk management and valuation across financial markets. The position requires deep expertise in capital markets... ...analytics, and hands-on experience with Murex MX.3. The ideal candidate will collaborate...Suggested
$55 - $65 per hour
## Securities Clearing - Market Risk ConsultantApplylocations: New York - 300 Vesey Streettime... ...:*** Liaise with market risk, financial surveillance, and other departments to... ...Group is seeking skilled and experienced Consultants for a fixed term of engagement from 6/0...SuggestedHourly payFixed term contract- Remote Jobs is seeking a professional to provide risk control services to customers. You will consult with clients, analyze data, and develop educational content to enhance risk control programs. The ideal candidate has a Bachelor's degree in a safety-related field, a...SuggestedRemote work
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...investment firm in New York seeks a Global Wealth Marketing Manager for a part-time, 6-month consulting assignment. The role involves executing marketing programs... ...team. Candidates should have over 5 years in financial or wealth management roles, strong communication skills...SuggestedPart time- ...Market Risk Associate – Cross Asset Join to apply for the Market Risk Associate – Cross Asset role at Nomura . Role Summary We are seeking an Associate to join Market Risk – Portfolio and Model Management group in New York. The successful candidate will help review and...SuggestedFull time
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Capula, a leading quantitative hedge fund in New York, is looking for a Market Risk professional. You will be responsible for managing and analyzing market risks across portfolios, collaborating with traders and quantitative researchers. The ideal candidate has a quantitative...$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 $... ...intellectually curious and intuitive. Solid understanding of financial markets and instruments; familiarity with risk and valuation models...Permanent employmentWork at office$68 - $73.68 per hour
...Market Risk Analyst Location: Jersey City, New Jersey (Onsite) Contract Duration: 12... ...problems. Partner with Global Markets Financial Risk, Global Risk Analytics, and Model... ...dedicated customer service team for our Consultants that can address questions around...Hourly payContract work$115k - $150k
...and headquartered in Chicago, the DV Group of financial services firms has grown to more than 450... ...utilizing its own capital, trading strategies, and risk management methodologies to provide liquidity to worldwide financial markets and hedging opportunities to commodity...Work at officeWorldwide- ...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. FRM/PRM/CQF certifications...
$180k - $260k
...multiple geographies with a strong commitment to risk management and quantitative excellence. The Role We are seeking a Market Risk professional to join our dynamic risk... ...environment with exposure to global financial markets and cutting-edge risk management practices...$100k - $140k
Morgan Stanley is hiring an Associate in its Market Risk Analytics group in New York. This role focuses on market shock scenario design and stress testing, requiring proficiency in Python and database languages. Successful candidates will have a degree in a quantitative...Work at office3 days per week- Morgan Stanley is looking for an Associate to join their Non-Market Risk team within the Institutional Equity Division. In this role, you... .... The ideal candidate will have 1 to 4 years of experience in Financial Services, strong analytical skills, and proficiency in...
- A leading financial institution in New York is seeking a Market Risk Manager to join their team. You will play a key role in identifying and managing financial risks associated with trading activities. Candidates should have a relevant degree and at least 3 years of experience...
$100k - $140k
Firm Risk Management Morgan Stanley's Firm Risk Management (FRM) Division is an exciting... ...to losses as a result of credit, market, liquidity, model and other risks. Background... ...Collaboration Curious about risk management, financial products, markets, and regulation Strong...Temporary workWork at office3 days per week- Dormont Manufacturing Co is looking for a Market Risk Analytics Associate who will focus on market shock scenario design and stress testing. This hybrid role requires collaboration with diverse teams, integrating AI tools into existing processes. The ideal candidate will...
$150k
...opportunities through the evaluation of risk associated with client activity and input... ...exposure relative to client profile and market/product underlying dynamics to protect against... ...others. High level of proficiency in financial calculations & fluency in Spanish. Proficiency...Contract workWork experience placementWork at officeRemote work$38 - $39.08 per hour
...Overview We are hiring Marketing Consultant - Hybrid for a Major Cosmetics Client. Location: New York, NY 10001. Duration: 4+ months on W2.... ...franchise(s) to optimize overall brand performance, identifying risks and developing contingency plans. Collaborate: Work with...Hourly pay- # Marketing Consultant## Apply to Job HereFree Ats CV Builder------## Job OverviewMondrian Co. is seeking a Marketing Consultant to join their team in New York, NY. This mid-senior level role involves developing and executing marketing strategies for a timeless fashion...Full timeCasual work
- ...questions, then we want YOU! We're Sway, an established event marketing and promotions company located in Jersey City, New Jersey, with... ...'re looking to expand our dynamic team. As an Event Marketing Consultant , you'll be responsible for promoting our clients' products...Full timeLocal areaRemote workShift work
- A major financial institution is seeking an Affluent Market Senior Financial Advisor in Parsippany, NJ. This role focuses on providing customized investment solutions... ...relationship management. The position emphasizes risk compliance and sales growth in a collaborative...
- Neuberger is seeking a Private Markets Specialist for its North American Intermediary Sales team in New York. This role is pivotal in... ...ideal candidate will deliver investment strategies tailored for financial advisors, enhancing their capabilities and service offerings. Applicants...
- ...opportunity with a client. Right Side Up is a collective of premium marketing talent—with all of the marketing chops, and none of the agency... ...the Role We’re seeking freelance Paid Search Growth Marketing Consultants to join our talent collective and support a range of clients...Full timeContract workFreelance10 hours per week
$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... ...capital markets to oversee a broad range of financial and operational risks. You will join a...Full timeWork at officeRemote workVisa sponsorshipRelocation packageFlexible hours$150k - $200k
Soros Fund Management LLC is looking for a driven Market Risk Analyst in New York City. In this high-impact role, you will support the firm's risk oversight framework and work with portfolio managers on investment strategies. We value analytical reasoning and expertise...Work at office- 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...
- ...clients. This role offers the opportunity to shape the digital marketing and ecommerce function within a boutique, entrepreneurial environment. The Role We are seeking a Marketing & Ecommerce Consultant to support the brand’s digital growth across ecommerce, paid media...Seasonal workFlexible hours
- ...professional with in-depth knowledge of insurance products. Responsibilities include assessing client needs, designing solutions, and marketing client business to various carriers. The ideal candidate will have a Bachelor's Degree and 10 years of experience in the field...
$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...$105.5k - $145k
Kapitus is seeking a Capital Markets Associate III to drive the capital markets strategy through transaction execution and investor engagement... ...finance. As part of a dynamic team, you will develop complex financial models and negotiate financing arrangements, ensuring...
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