Risk Management Jobs

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MD, Credit Risk Leveraged and Structured Finance
New YorkNegotiable

A Global Investment Bank is looking to hire a seasoned leader to oversee Credit Risk for leveraged and structured credit products across the Americas. This is a Managing Director-level position with significant influence over strategic direction and risk oversight for complex financing transactions. You will work closely with senior stakeholders to...

Director, Market Risk & Earnings
IndianapolisUS$155000 - US$185000 per year

We are working with a Regional Bank located in Indianapolis looking to hire a Director of Market Risk & Earnings to help lead the Market Risk and Financial Forecasting teams within the Enterprise Risk Management (ERM) department. This role ensures the organization effectively identifies, measures, and manages financial risks, while also providing s...

VP Market Risk Quant
New YorkUS$170000 - US$200000 per year

A Tier-1 American Investment Bank in NYC is looking to hire a VP level candidate specialized in Market Risk model development to join their Quantitative Market Risk Analytics team. This is a premier Risk Analytics function that is widely considered to be the top performing on the street.This hire will report directly to the Head of Risk Analytics a...

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VP Macro Market Risk Manager
New YorkNegotiable

A Tier 1 American Bank is looking to grow their Macro Market Risk team and are currently looking to bring on a VP level Market Risk Manager, with a background in Rates & FX Market Risk to join the team.Over the last couple of years, this bank has been steadily increased their offerings to clients within the Macro space. As such, the bank is now loo...

Team Lead Credit Risk
Hong KongNegotiable

We are working with a leading Securities firm to hire an experienced Head of Credit Risk. This is a pivotal role where you will define and implement credit risk strategies, ensure regulatory compliance, and lead a high-performing team to safeguard the organization's risk framework.If you have a strong background in securities platforms, proven lead...

Power and Gas Quantitative Analyst
LondonNegotiable

A leading, multi-manager hedge fund with +$15Bn AuM is looking for a Senior Quantitative Analyst to join their centralised risk team to support their discretionary Commodity Trading platform.The hire will develop trading and risk models for physical commodities, with a particular emphasis on the EU physical power and gas.The hedge fund prides itsel...

Navigate the Risk Management Job Landscape

Selb Jennings works with global banks, asset managers and insurers to match skilled risk specialists with employers seeking strong control frameworks. 

From counterparty analytics and product risk governance to enterprise risk leadership and regulatory initiatives, we connect analysts, managers and governance experts to roles where they can make an impact. 

Advance your career by applying your market, credit and operational risk expertise across leading organisations.