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Market Risk Manager

Underground AdministrationDallas, Texas

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Job Description

Market Risk Manager - Dallas - Hybrid - Up to 155k
Title: Market Risk Manager
Location: Dallas, TX
Office Setting: Hybrid
Compensation: Up to $155K base (no relocation or visa sponsorship)
Industry: Financial Services


About the Role:
Our client is seeking a Market Risk Manager to join its Financial Risk & Governance (FR&G)
function. This role will focus on monitoring daily margin activities and managing market and
liquidity risk related to clearing and settlement operations. You'll lead a team of analysts and
work cross-functionally to ensure margin methodologies are sound, risk policies are followed,
and the organization remains ahead of market disruptions.


This position requires a strong foundation in risk systems, margin modeling, market trends, and
liquidity exposure, particularly as they relate to fixed income clearing activities.
Key Responsibilities:
● Lead and mentor a team of risk analysts across global time zones
● Review and sign off on daily deliverables with a focus on accuracy and timeliness
● Monitor member margin exposures, liquidity obligations, and settlement risk
● Track market movements and economic trends to identify early risk indicators
● Ensure adherence to risk management policies and procedures
● Collaborate with internal teams on model risk reviews, audits, and regulatory responses
● Drive risk system upgrades and lead new risk process improvements
● Provide strategic insights during distress events or large member exposures
What You Bring:
● 8+ years of relevant risk experience in financial services
● Strong knowledge of market risk, liquidity frameworks, and margin methodologies
● Experience leading teams and managing deliverables under tight timelines

● Proven ability to interpret economic and market data for risk forecasting
● Bachelor’s degree required; advanced degree or certifications a plus
● Ethical mindset, collaborative approach, and solution orientation


About the Client:
Our client is a long-established, industry-governed financial services infrastructure firm that
supports core market operations across trading, clearing, and settlement. Known for its stability, scale, and risk-focused mission, the firm plays a vital role in protecting financial markets through robust controls, transparent governance, and continuous innovation.

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