A leading global financial services firm based in New York is seeking a Market Risk Analyst to assess market risk-taking behavior through detailed portfolio analysis and proactive stress testing. This role involves collaborating with traders and senior management to drive enhancements in risk measures. Candidates must have a Bachelor’s degree in a relevant field and over 5 years of industry experience. The position offers a competitive salary package and a supportive work environment where diverse perspectives are valued.
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FULL TIME
mid
4/3/2026
You will be redirected to Macquarie Group's application portal.