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Market Risk Analyst - Non-Agency Mortgages / Jumbo Whole Loans

GTT, LLC

  • New York, NY
  • 4 days ago
  • $45 Per Hour

Highlights

This role acts as a subject matter expert, delivering guidance on complex market risk issues and supporting strategic initiatives across the organization, and is responsible for conducting risk assessments, analyzing risk data, and recommending mitigation strategies. With a strong emphasis on risk governance, regulatory compliance, and long-term growth, this institution ranks among the prominent financial institutions in North America and offers contractors meaningful exposure to complex structured products and enterprise-wide risk frameworks.

Numbers & Facts

LocationNew York, NY
IndustryStaffing/Employment Agencies
Company Size100 to 499 employees
Year Founded2004
Websitehttp://www.gttit.com

Description

Market Risk Analyst - Non-Agency Mortgages / Jumbo Whole Loans

Location: New York, NY

Onsite Flexibility: Hybrid 4 days onsite per week

Contract Details

  • Position Type: Contract
  • Contract Duration: 8 months (with potential for extension)
  • Pay Rate: $45.00 $50.00 / Hour (USD)
  • Shift / Schedule: Monday Friday, core business hours; overtime as needed
  • Travel Requirements: Not required
  • Work Authorization: Applicants must be authorized to work for ANY employer in the U.S. We are unable to sponsor or take over sponsorship of an employment Visa at this time.

Job Summary

This is an Intermediate Market Risk Analyst role with experience in second line oversight of market risk in non-agency Mortgages / Jumbo whole loans securitization businesses. The main function of a risk analyst is to identify, assess, and report on market risks that could impact business operations or objectives. This role acts as a subject matter expert, delivering guidance on complex market risk issues and supporting strategic initiatives across the organization, and is responsible for conducting risk assessments, analyzing risk data, and recommending mitigation strategies.

Key Responsibilities

  • On-board valuation models and data sources for Jumbo Whole loans and securitization of non-agency MBS.
  • Validate risk results, enhance the risk factor coverage, risk metrics generation, stress scenarios definition.
  • Maintain a strong culture of risk management and control, supported by effective processes aligned with the enterprise risk appetite.
  • Analyze daily market risk positions through quantitative and qualitative risk assessments, validate accuracy of reporting, and provide high quality insights and recommendations and present findings to management.
  • Develop, implement, and maintain standards, policies, and processes to identify, measure, report, and mitigate market risk exposures.
  • Perform in depth risk analysis on U.S. non-agency MBS and related products, including exposure monitoring, sensitivity analysis, and performance drivers (e.g., spread risk, optionality, prepayment and credit dynamics).
  • Proactively identify emerging risks, aggregate key exposures, and escalate material issues to appropriate governance forums.
  • Support business partners with risk analysis and reporting, including scenario analysis and stress testing across market environments.
  • Contribute to enterprise wide risk escalation, review, approval, and assessment processes.
  • Apply a strong understanding of the firm's risk appetite, including statistical analysis and development of consistent risk measurement methodologies.
  • Continuously monitor and assess risk trends, concentrations, and vulnerabilities across portfolios.
  • Engage with stakeholders to enhance understanding of market risk, particularly as it relates to structured products and non-agency MBS.
  • Assist in the maintenance and improvement of risk management policies.

Breadth & Depth

  • Senior professional role requiring expert level knowledge in market risk management and structured credit products, with strong working knowledge of adjacent risk disciplines.
  • Integrates broader organizational context into risk advice, analysis, and solutions.
  • Demonstrates strong understanding of industry dynamics, competitive landscape, and key differentiators.
  • Applies best practices to drive continuous improvement in processes, tools, and methodologies.
  • Serves as a subject matter expert and resource to peers and stakeholders.
  • Leads moderately to highly complex projects or functional programs with significant risk and resource considerations.
  • Solves complex, multi-variable problems requiring judgment, analysis, and stakeholder engagement.
  • Interprets policies, standards, and analytical outputs to inform senior level decision making.
  • Operates independently as a senior technical lead, guiding others and driving resolution of complex issues.

Required Skills

  • 2 4 years of relevant experience in market risk management, financial risk, or related fields.
  • Knowledge of Market Risk assessment and management frameworks.
  • Experience with risk modeling tools and methodologies.
  • Effective written and verbal communication skills.
  • Strong analytical and problem-solving skills.
  • Attention to detail and accuracy in risk analysis.
  • Ability to work independently and as part of a team.
  • Experience with Polypaths ALM system.
  • Familiarity with securitizing non-agency MBS and experience with non-agency mortgages and MBS products.
  • Some modeling familiarity.

Preferred Skills

  • Demonstrated experience with U.S. non-agency MBS, structured credit products, or securitized assets.
  • CFA or FRM designation.
  • Python.

Education Requirements

  • Bachelor's degree in Finance, Economics, or related field required.

Required Experience

  • 2 4 years of relevant experience in market risk management, financial risk, or related fields.

Nice-to-Have Experience

  • Demonstrated experience with U.S. non-agency MBS, structured credit products, or securitized assets.

Work Environment / Physical Requirements

  • Approximately 2 hours daily spent in meetings.
  • Internal focus with some external stakeholder interactions.
  • No access to customer data.
  • Training period: 2 weeks.
  • Interview process: Virtual 1 2 rounds with potential for 1 in-person interview.

Benefits

  • Medical, Vision, and Dental Insurance Plans
  • 401k Retirement Fund

About the Client

This client is a leading financial services and banking institution operating across major U.S. markets, with a broad footprint serving retail, commercial, and institutional customers. The organization employs thousands of professionals including market risk analysts, financial engineers, solutions developers, and technology specialists who collaborate within agile, fast-paced environments. With a strong emphasis on risk governance, regulatory compliance, and long-term growth, this institution ranks among the prominent financial institutions in North America and offers contractors meaningful exposure to complex structured products and enterprise-wide risk frameworks.

About GTT

GTT is a minority-owned staffing firm and a subsidiary of Chenega Corporation, a Native American-owned company in Alaska. We highly value diverse and inclusive workplaces and support Fortune 500 organizations across banking, financial services, technology, life sciences, biotech, utilities, and retail sectors throughout the U.S. and Canada.

Job Number: 26-11296 Industry: Finance & Accounting

#LI-Hybrid #gttjobs

About Company

Global Technical Talent is a subsidiary of Chenega Corporation (www.Chenega.com) with over 1.3 billion US$ in revenue and 5800 US employees. We provide Total Talent Solutions, Global staffing, SOW, RPO, Direct Sourcing, and Global Payroll with physical offices in US, Canada, and India. GTT Digital headquartered in Toronto specializes in providing high-tech digital and banking talent to some of the nation’s largest financial institutions. GTT has been a leader in the staffing industry for over 22 years and is one of the largest staffing firms in the New England region. We are known for our Fortune 500 clientele and cutting-edge, technology-driven recruiting infrastructure.

We are a Native American-owned, economically disadvantaged corporation that highly values diverse and inclusive workplaces. Our clients and partners are among the most successful and innovative organizations in the world. Our top clients are Fortune 500 banking, insurance, and financial services firms, some of the nation’s largest life sciences, biotech, utility, and retail companies, and prestigious educational institutions in the Ivy League tier.

There is always a new opportunity for success when you look through all of the open job opportunities on our website’s career page. Just click on this link: https://bit.ly/gttcareers

Awards
SIA’s Best Staffing Firm to Work for ( 2019 -2023)
SIA’s Fastest Growing Staffing Firm
Inc 5000 Company
NH Business Magazines Fast 5 fastest growing companies.

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