Vertical Market Specialist Jobs
By Reflections Recruiting At United States
Has experience selling manufactured goods to their market(s)
Develops a working knowledge of all our Client's products
At least 25% of travel in a year
Leads the revenue growth of a vertical market(s)
Is well versed in the needs, issues, challenges, opportunities in their vertical market
Capable of engaging senior level decision makers and influencers
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
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
Market & Communications Specialist Jobs
By Riviera Partners At United States
Experience with website management and WordPress
Strong organizational and project management skills, with the ability to multitask and meet deadlines in a fast-paced environment.
Support the management of our contact database and prospecting tools, ensuring accurate and up-to-date information for targeted marketing and market segmentation.
Strong understanding of marketing principles, campaign management, and market segmentation.
Oversee the maintenance and updates of our company website, ensuring content accuracy, SEO optimization, and an engaging user experience.
Minimum 5 years of experience in marketing and communications, preferably in a similar role.
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
Market Risk Manager – Spread Products (Avp / Vp Level)
By Mizuho At New York, NY, United States
3-5 years of experience in market risk management required.
Produce commentary detailing market changes and changes to portfolio for senior management, regulators, and auditors.
Direct experience with Spread Products market risk is preferred.
Demonstrable quantitative and analytical skills.
Responsible for explaining changes in daily VaR and SVaR as well as changes in risk sensitivities.
Provide ad hoc analysis relating to Securitized Products (Agency and Non Agency), Corporate Bonds, and Municipal Products.
Market Specialist Jobs
By The Passport to Happiness At California, United States
Do you have an unwavering dedication to creating a significant impact in the lives of others?
·Generate and distribute compelling content.
·Lead and optimize the execution of marketing campaigns.
·Oversee and enhance the implementations of marketing strategies.
·Establish and cultivate a professional network.
·Fostering and mentoring the development of new clients
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
Market Specialist - Service Clubs
By Crowded At United States
Experience in project-based work, sublime time management capabilities and comfort with meeting tight deadlines.
Experience in selling software, and developing a go-to-market strategy (ideal)
Understanding of the financial operations in Service Clubs and the products leveraged today to manage payments, banking, spending, tracking and fundraising.
Experience building and implementing go-to-market plans
10+ years of involvement and preferably leadership in service clubs in the United States.
Business acumen, very comfortable with networking, and pinpointing second and third-degree connections
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
Market Risk Analyst Jobs
By Bank OZK At , Little Rock, Ar
Ability to demonstrate effective time management skills.
Bachelor’s degree in business, finance, statistics, or mathematics, or commensurate work experience, required; Master’s degree or higher preferred.
Knowledge in SAS, VBA, R, Python, PL/SQL and/or Power BI.
Knowledge of banking operations and financial services.
Knowledge of the financial services regulatory environment.
Ability to demonstrate effective organization, critical thinking, analytical, and problem-solving skills.
Risk Specialist Jobs
By Ethico At United States
Salary Range: $18.00 - $20.00 per hour Exact compensation may vary based on skills, experience, and location.
Responsibilities include but are not limited to:
• All other duties as assigned Experience you’ll need to succeed in your role at Ethico
• Knowledge of customer service principles and practices
• Strong problem-solving and analytical skills with great attention to detail
• Interview with the Hiring manager (60 Minutes)
Market Risk Project Manager
By Shell At , Houston, Tx
Working knowledge of project management tools such as Microsoft Project or comparable.
Prepare slide decks for senior management and program SteerCo and DRB forums.
Provide advice and guidance to the First Line of Defense teams on the implementation of market risk capabilities
Preferred degree in Business, Economics, Mathematics, Science, Engineering, IT, or any related field with at least five 5 years’ relevant experience.
Experience in leading projects using a variety of methodologies, e.g., Agile, Scrum, Waterfall, Kanban.
Experience project managing initiatives to automate manual processes or decommission unused applications/processes/reports.
Market Macro 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.
Prepare regular reports and presentations for senior management, highlighting key risk metrics, performance indicators, and strategic insights.
Foster strong relationships with internal and external stakeholders, including regulators, auditors, and risk management counterparts.
Professional certifications such as FRM (Financial Risk Manager) or CFA (Chartered Financial Analyst) are highly desirable.
Market Specialist - Booster Clubs
By Crowded At United States
Experience in project-based work, sublime time management capabilities and comfort with meeting tight deadlines.
Experience in selling software, and developing a go-to-market strategy (ideal)
Understanding of the financial operations in parent-run organizations and the products leveraged today to manage payments, banking, spending, tracking and fundraising.
Experience building and implementing go-to-market plans
10+ years of involvement and preferably leadership in PTAs, parent boosters, athletic boosters, school district leadership or similar organizations.
Business acumen, very comfortable with networking, and pinpointing second and third-degree connections
Market Risk Analyst - Equities
By Royal Bank of Canada At , New York, 10281, Ny
Aid in the management of the market risk reporting process and ensure the accuracy of key risk measurements.
Work with trading to ensure a close cohesion on key risk issues: systems, limits, risk management.
Investigate risks to provide value-added insight and analysis to senior management on risk trends and concerns.
Communications and project management 20%
A comprehensive Total Rewards Program including bonuses and flexible benefits, competitive compensation, commissions, and stock where applicable
Analyze key trading strategies and products to ensure they are in line with RBCCM risk tolerance and objectives.
Vp, Market Risk Jobs
By Selby Jennings At San Francisco Bay Area, United States
Developing and implementing risk management strategies and techniques to mitigate the potential losses arising from adverse market movements.
Demonstrable financial services experience including 6+ years of experience in market risk for a large bank
If you feel like you meet these qualifications, please don't hesitate to apply!
Identify emerging risk trends that warrant specific evaluation and propose coverage approach, including through Focused Reviews or alternative assessment method
Conducting risk assessments and stress testing to identify potential risks and their potential impacts on the organization's financial positions.
Counterparties, Complex Derivatives, Capital Markets, and Governance Frameworks.

Are you looking for an exciting opportunity to join a dynamic team and help manage market risk? We are looking for a Market Risk Specialist to join our team and help us identify, analyze, and manage market risk. You will be responsible for developing and implementing risk management strategies, monitoring market trends, and providing guidance on risk management strategies. If you have a passion for risk management and the ability to think strategically, this could be the perfect job for you!

Overview A Market Risk Specialist is a financial professional who is responsible for monitoring and managing the risks associated with investments and trading activities. They analyze the markets, identify potential risks, and develop strategies to mitigate those risks. They also provide advice and guidance to traders and investors on how to best manage their investments. Detailed Job Description A Market Risk Specialist is responsible for monitoring and managing the risks associated with investments and trading activities. They analyze the markets, identify potential risks, and develop strategies to mitigate those risks. They also provide advice and guidance to traders and investors on how to best manage their investments. They must be able to assess the potential risks of a given investment and develop strategies to reduce those risks. They must also be able to identify and analyze market trends and develop strategies to capitalize on those trends. Job Skills Required
• Knowledge of financial markets and instruments
• Knowledge of risk management principles and practices
• Analytical and problem-solving skills
• Ability to interpret financial data
• Ability to develop and implement risk management strategies
• Ability to communicate effectively with traders and investors
• Ability to work independently and as part of a team
Job Qualifications
• Bachelor’s degree in finance, economics, or a related field
• Relevant experience in financial markets and risk management
• Professional certification in risk management (e.g. FRM, PRM, etc.)
Job Knowledge
• Knowledge of financial markets and instruments
• Knowledge of risk management principles and practices
• Knowledge of financial data analysis
• Knowledge of market trends and strategies
Job Experience
• Relevant experience in financial markets and risk management
• Experience in developing and implementing risk management strategies
• Experience in communicating effectively with traders and investors
Job Responsibilities
• Monitor and manage the risks associated with investments and trading activities
• Analyze the markets and identify potential risks
• Develop strategies to mitigate risks
• Provide advice and guidance to traders and investors on how to best manage their investments
• Assess the potential risks of a given investment
• Develop strategies to capitalize on market trends
• Interpret financial data
• Develop and implement risk management strategies
• Communicate effectively with traders and investors