Part of Phaidon International![]()
Showing 45 results
Sort by:
Our client is a leading asset manager with multi-asset focus across public markets. With an expanding risk function in Singapore, the firm is looking to strengthen its capability in portfolio risk monitoring, analytics, and data-driven reporting. As part of this growth, they are seeking a Risk Analyst to join the team. This is a hands-on, front-fac...
A global investment bank is looking to bring on a Director of Prime Services Risk to their team based in their New York office. This role will report to the Global Head of Prime Risk and manage a small team in the US.This person will be responsible for leading the US Prime Risk business and developing the risk framework which includes margin risk m...
A leading International Investment Bank in NYC is seeking a Vice President to join its AI focused Market Risk team within their Risk Modeling function. This is an exciting opportunity to help drive the firm's data analytics and AI capabilities while supporting the development and enhancement of key market risk models used across the trading busines...
Take the first step toward your next opportunity - submit your CV and get started today.

A leading Global Financial Institution in NYC is seeking a Director to join its Counterparty Credit Risk function focused on SIMM Models, PFE modeling, VaR modeling and portfolio risk analysis. This is an exciting opportunity to help drive the firm's quantitative counterparty credit risk framework while supporting the development and enhancement of...
A leading International Investment Bank in NYC is seeking a Vice President to join its AI focused Market Risk team within their Risk Modeling function. This is an exciting opportunity to help drive the firm's data analytics and AI capabilities while supporting the development and enhancement of key market risk models used across the trading busines...
A Commodities Trading house is seeking a Market Risk Manager to join their growing risk team. This role will be responsible for enhancing and monitoring market risk frameworks, analytics, reporting, and risk models while driving improvements to existing processes and infrastructure. The individual will work closely with trading desks to assess and ...
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.