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Vice President – Market Risk Analytics & Data Management

Madison-Davis, LLC
York, NY Full Time
POSTED ON 4/8/2026
AVAILABLE BEFORE 5/11/2026

Title: Vice President – Market Risk Analytics & Data Management

Office Status: Hybrid – New York City

Base Salary: $155,000 – $195,000


Overview

A global financial institution is seeking a Vice President of Market Risk Analytics to join its U.S. risk management platform. This role sits within a specialized team responsible for enhancing market risk analytics, strengthening data infrastructure, and modernizing internal risk tools used across trading businesses. The position offers strong exposure to regulatory stress testing, quantitative risk modeling, and automation initiatives, making it an excellent opportunity for a technically strong market risk professional looking to work at the intersection of risk analytics, data engineering, and regulatory reporting.


Key Responsibilities

  • Develop and enhance market risk analytical tools and reporting frameworks supporting internal risk oversight and regulatory requirements.
  • Utilize Python and quantitative programming techniques to modernize existing risk models and automate previously manual processes.
  • Support the execution and analysis of regulatory stress testing exercises, including scenario design, risk factor mapping, and results interpretation.
  • Improve the efficiency, scalability, and governance of market risk systems by converting tactical workflows into controlled, automated solutions.
  • Produce detailed model and process documentation to ensure alignment with internal governance standards, audit expectations, and regulatory guidance.
  • Partner with technology teams, trading desks, and data management groups to improve risk data pipelines and strengthen analytical capabilities.
  • Conduct system testing and user acceptance testing (UAT) for newly developed tools and enhancements to ensure accuracy and reliability.
  • Monitor model performance and analytical outputs to ensure consistent, high-quality risk measurement across trading activities.
  • Contribute to the ongoing development of risk measurement methodologies, including exposure analytics, stress testing frameworks, and reporting enhancements.
  • Support senior risk leadership with insights and analysis used in market risk monitoring and strategic decision making.

Salary : $155,000 - $195,000

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