Risk Management Jobs
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VP/SVP Equities Market Risk Manager
A Tier-1 Investment Bank is looking to add a VP or SVP level candidate to their team to cover their Equities Trading business consisting of Cash and Derivatives like Structured Products, Exotics, Options, Delta-1, and Corp Derivatives.This individual will be responsible for working with traders to asses risk usage and limit usage for the firm's Equ...
Market Risk Manager
A leading competitive power generation company is seeking a Market Risk Manager who will be responsible for daily market risk and P&L reporting, risk limit monitoring, portfolio analytics, and cross-functional communication to ensure transparent performance and risk management. This role delivers timely executive-ready insights, maintains key repor...
Auto Finance Commercial Relationship Manager
A leading financial institution is seeking a Commercial Relationship Manager to support and grow its Auto Finance portfolio. This position is centered on maintaining, expanding, and strengthening valuable client relationships while actively identifying and addressing related business risks and growth opportunities. The ideal candidate will have ext...
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VP, Credit Officer (Project Finance)
A leading Foreign Investment Bank is seeking an experienced Vice President to join their Credit Risk function focused on Project Finance. The role involves independent assessment and approval of complex, non‑recourse and structured transactions across sectors such as renewable energy, data centers, and infrastructure. The successful candidate will ...
BayernLB VP, Credit Analyst Project Finance
A Wholesale Commercial Bank is seeking a VP Credit Analyst to join their Project Finance team in New York. The bank is growing the Credit Risk team in their New York City office. This role offers ownership over an established portfolio consisting of new and existing transactions. The successful candidate will have experience conducting Credit Analy...
Credit Quant
A top global investment bank is looking to expand its market risk analytics team in New York and bring on an experienced Quantitative Risk professional to support fixed income and credit products. This group partners closely with trading and risk leadership and plays a critical role in how risk is measured, reported, and governed across the firm.Th...
Navigate the Risk Management Job Landscape
Selby 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 organizations.
