Associate Market Strategist Jobs
By Confluence Investment Management At St Louis, MO, United States
Strong analytical skills ranging from geopolitics and economics to financial markets
Exceptional written and oral communications skills
Responsibilities and duties of the Associate Market Strategist include:
Other qualifications for this position:
Provide macro-analytical support to the firm’s investment and marketing teams
Develop and deliver oral presentations to various audiences
Product To Market Associate Manager
By The Walt Disney Company At Glendale, CA, United States
Basic understanding of project management principles and the ability to contribute to the execution of complex projects
Collaborate with the PTM Operations Manager to maintain and update product development calendars, ensuring adherence to timelines
Collaborate and provide updates and insights to relevant Global Product Executives and Senior Managers
Minimum 2+ years of experience in operational coordination and project support within a collaborative team environment
Effective communication skills, including the ability to assist in creating clear and impactful presentations
Strong analytical and organizational skills with keen attention to detail
Associate/Vice President, Liquidity And Market Risk
By Swell Partners At New York City Metropolitan Area, United States
Collaborate closely with cross-functional business partners, including Treasury and Balance Sheet Management, Front Office, and Internal and External Auditors.
Strong grasp of internal control orientation and significant experience in managing complex programs/projects.
Monitor and escalate the bank's non-trading market risk positions, contributing to the design and implementation of the firm's risk appetite.
Non-Trading Market Risk and Liquidity Risk
Bachelor's degree required; advanced degree preferred.
Robust internal control orientation and understanding of large-scale, complex program/project implementation.
Market Associate - Grocery
By Pineland Farms At , New Gloucester, 04260 $16 an hour
Responsibilities (including but not limited to):
Interact with our fantastic customers
Working mornings to mid afternoon, including one weekend day.
Starting wage of $16/hour, plus pooled tips.
Free admission for Pineland Farms activities such as cross-country skiing, disc golf, mountain biking, etc.
Pineland Farms Market | Located at
Risk Manager / Risk Associate
By Schneider Electric At , Louisville, 40208
Energy contract procurement experience or client management skills
Training internal stakeholders on fundamentals of risk management methodologies
Development of risk management products and services
Travel requirements: approximately 5-10% of time
Proven ability to establish and manage a commodity strategy
Experience presenting to senior level executives
Market Risk Analyst Jobs
By Shell At , Houston, Tx
Experience with Endur or comparable energy trading risk management system
Degree in Finance, Engineering or equivalent with at least three plus (3+) years relevant experience in Market Risk.
Collaborate with other support functions (e.g. Finance, Technical Accounting) for deal support and general portfolio queries
Knowledge of North American supply/demand dynamics, deal structures, demand forecasting, stress testing, scenario analysis, VaR and exposure reporting.
Experience in US power markets (ISO-NE/NYISO/PJM/MISO/ERCOT/SPP) and associated natural gas markets is preferred
Intermediate to Advanced experience with the Microsoft suite of products: Excel, PowerPoint, Word, & Power BI
Associate Risk Analyst Jobs
By The Hartford At , Hartford, Ct
2+ years of work experience related to catastrophe risk management and modeling.
Experience in Excel/VBA, SQL, R strongly preferred.
Good verbal and written communications skills.
The ability to manage multiple projects at once.
Support MLC catastrophe modeling for natural perils, terrorism and other specified non-CAT metrics.
Communicate with business segments regarding catastrophe model output and key modeling initiatives.
Market Risk Time Series Analyst
By GITS At United States
2. Proven experience in time series analysis, forecasting, and predictive modeling.
6. Experience with data visualization tools (e.g., Matplotlib, Seaborn, Tableau) to communicate results effectively.
7. Excellent analytical and problem-solving skills with a detail-oriented approach.
9. Strong communication skills to present complex technical concepts to non-technical stakeholders.
10. Prior experience in the financial, marketing is a plus.
Job Title :
Market Risk Vice President
By Coda Search│Staffing At New York City Metropolitan Area, United States
Join a highly experienced and dynamic team responsible for the oversight and control of the market risk of the firm
Minimum of five years of market risk or trading experience within a large financial institution
Working knowledge of trading products (equity, bonds, ABS/MBS, derivatives, etc.)
Undergraduate or graduate degree in Finance, Economics, Mathematics, or other relevant disciplines
Strong analytical skills and ability to work with large data sets (i.e. working with historical market data)
Good understanding of market risk concepts (greeks, VaR, Stress Testing, etc.) and regulatory & economic capital frameworks
Htm - Biomed Associate Market Manager
By Med-Lab Imaging At Miami-Fort Lauderdale Area, United States
All job requirements listed below indicate the minimum level of knowledge, skills and/or ability deemed necessary to perform the job proficiently.
Experience with project management, strategic planning, and value-based selling desirable
Prior HTM Account Management/HTM Sales or Program experience required, minimum 3 years
Manage product launches; address market/healthcare trends and needs through optimum marketing messaging and positioning.
Excellent written, verbal, and interpersonal communication skills
Experience working in matrixed organization.
Associate Risk Analyst Jobs
By Genesis Financial Solutions At Beaverton, OR, United States
Perform all duties and responsibilities leveraging strong quantitative, critical thinking, and communication skills.
Manage and manipulate large data sets using a variety of software packages.
Interact with various business area managers on a regular basis.
Bachelor’s degree in a quantitative field (Economics, Engineering, Mathematics, Computer Science, or similar) or equivalent experience.
Experience with SQL (MS SQL Server), R, Python, or SAS.
Strong communication skills – verbal and written.
Market Risk, Analyst Ny
By Goldman Sachs At New York, NY, United States
One to three years’ experience in market risk management or similar role with transferable skills
Communication with senior management and regulators
Desire and ability to communicate complex information and concepts in layperson terms directly with senior management (both written and verbally)
Connect events (e.g. macroeconomic data releases, political elections) to potential vulnerabilities
Dissemination of information and education of stakeholders through effective and timely communication and collaboration
Strong academic record with Bachelor’s degree, equivalent or above in Finance, Mathematics or a related quantitative/analytical discipline preferred
Market Risk Specialist Jobs
By Cititec Talent At Houston, TX, United States
● Previous experience in market risk management, risk analysis, or related roles within the commodity trading industry.
● Familiarity with risk management frameworks, methodologies, and regulatory requirements.
● Technical skills - SQL, Microsoft Excel/words, JIRA, Confluence, Agile methodology
● Strong analytical and quantitative skills, with proficiency in statistical analysis and data modelling.
Market Risk SME - Houston TX - Commodity Trading - Circa 30% bonus - Competitive Salary
● Market Risk - VaR (Market Risk Value-At-Risk) computations, Sensitivities, Greeks computations
Large Market Account Associate, Surest - Remote
By UnitedHealthcare At Minneapolis, MN, United States
Solid account management experience specifically working with large employer HR function
Solid consulting, relationship management, and communication skills
Participate in user acceptance testing to validate solutions meet requirements
4-year college degree or equivalent experience
Health Insurance/Heath Care industry experience
Solid skills in Microsoft Office (PowerPoint, Excel are ideal)
Associate, Risk Modeling Jobs
By Santander Bank, N.A. At Boston, MA, United States
Strong organizational and time management skills.
Assists in developing and providing training and support to management and employees regarding model risk strategies and programs.
Assists senior level staff and management as requested.
Strong quantitative capabilities and analytical skills, including an investigative mindset.
Continually improves programming skills in SAS, Matlab, VBA, and other software
Researches and maintains regulatory requirements and publications relevant to model risk
Macro Market Risk Manager
By Goldman Lloyds At New York, United States
Develop and implement risk management strategies to optimize profitability while ensuring compliance with regulatory requirements.
Extensive experience in macro market risk management within the financial industry, with a focus on fixed income products (FX & Rates).
Strong knowledge of financial markets, macroeconomic indicators, and risk management principles.
Experience with Rates, FX and XVA products are a bonus
Bachelor's degree in finance, economics, or a related field. Advanced degree preferred.
Monitor and analyze market trends, macroeconomic indicators, and relevant financial data to identify potential risks and develop risk mitigation plans.
Market Risk Senior Associate
By JPMorgan Chase & Co. At Columbus, OH, United States
Have 3 - 5 years of experience in a Risk Management , Finance, or related role
Required Qualifications, Skills And Capabilities
Produce risk reports for both AWM Risk Managers and senior management.
Strong technical skills. Proficiency with Microsoft Excel required; experience with SQL and python a plus
B.A. degree required , ideally in Finance, Economics, Engineering, or related field
Have a good understanding of portfolio and risk measurement concepts, including sensitivity, stress testing and Value at Risk analysis
Associate Market Manager Jobs
By Expedia Group At Las Vegas, NV, United States
0-2 years of experience in account management, partner/client success, consultative sales, or related field
In-house revenue management tools (Rev+)
Marketing and merchandising opportunities (dynamic promotions, packages, member deals, mobile offers)
Guide and support Hotel Partners to deliver the best traveler experience
Conduct regular self-learning to improve skills
Proficient in English language skills
Risk Associate - Counterparty Risk
By JPMorgan Chase & Co. At New York, NY, United States
Required Qualifications, Capabilities And Skills
Preferred Qualifications, Capabilities And Skills
Experience of working in Service Level Agreement (SLA) driven environments with the ability to manage upstream and downstream dependencies
Bachelor's degree in a discipline such as Financial Engineering, Mathematics, Physics, Statistics, Engineering, Finance and/or Economics
3-5 years of experience in Market Risk, Credit, Trading or Trading middle office functions
Experience in designing, documenting, and implementing control frameworks for BAU tasks (SOPs)
Vp, Market Risk At Investment Bank
By Coda Search│Staffing At New York City Metropolitan Area, United States
Provide market risk oversight for the firm
Support strategic initiatives and policies to mitigate risk
Monitor and report on current/emerging risks
Understanding of trading products, as well as market risk concepts

Are you looking for an exciting opportunity to join a dynamic team and help manage market risk? We are looking for a Market Risk Associate to join our team and help us identify, analyze, and manage market risk. You will have the chance to work with a variety of financial instruments and markets, and use your expertise to help us make informed decisions. If you are an analytical thinker with a passion for finance, this could be the perfect job for you!

Overview Market Risk Associate is a financial professional who is responsible for monitoring and managing the risks associated with investments and other financial activities. They are responsible for assessing the potential risks of investments, developing strategies to mitigate those risks, and monitoring the performance of investments to ensure that they remain within acceptable risk levels. Detailed Job Description Market Risk Associates are responsible for assessing the potential risks of investments and developing strategies to mitigate those risks. They analyze financial data, review market trends, and assess the potential risks of investments. They also develop strategies to reduce the risks associated with investments, such as diversifying portfolios and hedging against market volatility. Market Risk Associates also monitor the performance of investments to ensure that they remain within acceptable risk levels. They may also provide advice to clients on how to manage their investments in order to reduce their risk exposure. Job Skills Required
• Strong analytical and problem-solving skills
• Knowledge of financial markets and investment products
• Ability to interpret financial data and market trends
• Excellent communication and interpersonal skills
• Ability to work independently and as part of a team
• Knowledge of risk management techniques
• Proficiency in Microsoft Office Suite
Job Qualifications
• Bachelor’s degree in finance, economics, or a related field
• Relevant work experience in financial services
• Professional certification in risk management (e.g. FRM, PRM, CFA)
Job Knowledge
• Knowledge of financial markets and investment products
• Knowledge of risk management techniques
• Knowledge of financial data and market trends
• Knowledge of financial regulations and compliance
Job Experience
• Relevant work experience in financial services
• Experience in developing and implementing risk management strategies
• Experience in monitoring and analyzing financial data
Job Responsibilities
• Assess the potential risks of investments and develop strategies to mitigate those risks
• Monitor the performance of investments to ensure that they remain within acceptable risk levels
• Provide advice to clients on how to manage their investments in order to reduce their risk exposure
• Analyze financial data and review market trends
• Develop and implement risk management strategies
• Ensure compliance with financial regulations