Cross-Asset Market Risk Associate
Listed on 2026-10-08
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Finance & Banking
Financial Advisor / Consultant, Banking & Finance
Nomura Holdings, Inc. seeks a Market Risk Associate in New York to review and manage cross-asset risk, provide quantitative analysis to senior management, and drive risk reporting and automation.
You will work across Rates, Equities, Securitized products, FX, and Crypto, collaborating with front office and diversified stakeholders. The role requires 2–4 years in risk or related fields, a Finance/Math degree, and strong Python/SQL skills;
Bloomberg familiarity is a plus.
Consider building your career as a Cross-Asset Market Risk Associate at Nomura Holdings, Inc.
We invite applications for the Cross-Asset Market Risk Associate position located in New York, NY, United States.
The following opening is for a Cross-Asset Market Risk Associate with Nomura Holdings, Inc.
Our group is growing, and we are hiring a Cross-Asset Market Risk Associate in New York, NY, United States.
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