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A leading global financial institution is looking to bring on a VP level candidate to their Portfolio Risk team. This person will be responsible for analyzing the firm's overall portfolio risk using different risk metrics and stress tests, monitor large risk concentration across the portfolio, evaluate the risk versus return on the portfolio and re...
A Leading Financial Organization is seeking to hire a Quantitative Risk Manager into its Quantitative Risk Management team in Chicago. This individual will play a critical role in the development, review, and enhancement of quantitative models supporting margin methodologies, clearing fund calculations, stress testing frameworks, and risk analytics...
A globally recognized quantitative Proprietary Trading Firm is seeking a Senior Risk Manager to join its front office-facing risk team. This individual will work directly with traders, quantitative researchers, and technology teams to oversee risk across a sophisticated Delta One trading business. Risk managers are viewed as business partners rathe...
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A leading clearing house focused on options is looking to bring on a Product Owner to their Financial Risk Management team.This person will be responsible for driving the strategy, development, and enhancement of their risk management platforms, partnering closely with Financial Risk Management, Quantitative Risk, Model Risk, and Technology teams. ...
A leading upper middle market investment bank is seeking an Investment Banking Analyst to join its Industrials team in New York. This is an opportunity for a second or third-year Investment Banking Analysts looking to gain significant M&A exposure within a highly respected advisory platform. The firm combines the resources, stability, and global re...
A Tier 1 investment bank is looking to bring on a VP level candidate to their equities market risk team to cover their local exotics, flow, and corporate derivatives desks in New York City.This person will be responsible for working directly with traders to assess risk usage and limit usage for the firms equities trading business. They will partner...
Selby Jennings offers a broad selection of market risk jobs across investment banks, hedge funds, asset managers, and fintech firms. Employers we partner with seek professionals with expertise in risk analytics, stress testing, VaR modelling, and regulatory reporting.
Whether you're a market risk analyst, risk manager, or quantitative strategist, we connect you with roles that align with your technical skills and career ambitions. Explore opportunities in trading risk, scenario analysis, and market exposure management. Advance your career in market risk with Selby Jennings.