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Manager, Collateral Risk

Fmr · Jersey City, NJ · Active · $80,000–$153,000 / year · Workday Recruiting

Job facts

FieldValue
CompanyFmr
TitleManager, Collateral Risk
Normalized title-
Department / team-
LocationJersey City, NJ, United States
Work model-
Employment typeFull Time
Salary$80,000–$153,000 / year
Statusactive
ATS providerWorkday Recruiting
Posted / first seen2026-06-04 / 2026-06-06
Changed / last seen2026-06-06 / 2026-06-06

Related slices

PageWhat it containsOpen
Company jobsActive postings from Fmr.Open
Company breakdownsRole, location, ATS, and work model facets for this company.Open
ATS provider jobsActive postings observed through Workday Recruiting.Open
Provider filtered searchThe same provider as a filtered job collection.Open
City jobsActive postings in Jersey City.Open
Lifecycle eventsOpen, update, close, and reopen events for this posting.Open
Original postingCanonical source or apply URL captured from the ATS.Open

Linked records

CompanyFmr
Sourcee7fca96c-3441-41d7-b62d-02b48b9d5e34
ATS providerWorkday Recruiting

Description

Job Description: Note: Fidelity will not provide immigration sponsorship for this position The Team Join the Fidelity Collateral and Market Risk Management team to help protect the firm from potential losses from margin lending and trading activities of both institutional and retail customers of Fidelity Investments. The team is responsible for determining lending policy and providing continuous analysis of the risks inherent in each client’s portfolio and investment strategy. Portfolios are analyzed and evaluated daily through extensive simulation and stress analysis designed to estimate market related risks. The team develops and maintains risk models, methodologies and processes to ensure the risk framework remains robust and effective as market structures, strategies and products evolve. The candidate will work extensively with business partners and customers to help articulate risk requirements and procedures. The role will include: Analysis of risk exposures and collateral requirements using stress testing and scenario analyses. Daily monitoring of client portfolios to identify material risk exposures. Regular interaction with account managers as well as business and risk partners on risk-related issues. Analyzing market events and providing ad-hoc exposure summaries which estimate the impact on client portfolios. Partnership with the Risk Data Science and Analytics team to enhance risk analytics and trend analysis. Partnership with the Risk Product Development team for ongoing improvements to risk tools.   The Expertise You Have Excellent interpersonal, verbal and written communication skills; team player Bachelor’s Degree (Finance or STEM based degree preferable) 5 years of Relevant Risk Management experience, preferably collateralized lending Strong analytical skills Deep knowledge of financial markets and products Solid understanding of risk management principles and the ability to analyze portfolio strategies and risks using stress testing and scenario analyses   The Skills You Bring You have strong analytical and statistical skills; you are inquisitive and detail oriented You have a solid understanding of investment products, margin lending, trading, clearing and the related regulations You have the ability to assess and identify the inherent risks in a business or activity You are experienced with Excel, Bloomberg, Powerpoint, database queries and analytical tools and methodologies You are a self-starter able to work independently and manage time to drive initiatives from beginning to end You have very strong written and verbal communication skills You are collaborative with colleagues and thrive in a team environment You have experience in taking care of and resolving conflicts   The Value You Deliver Extensive experience with data analytics, stress testing, liquidity, market and operational risks Optimally balancing multiple initiatives and responsibilities within prescribed timelines Ability to engage interested parties and facilitate discussions, meetings and walkthroughs of risk policy and analytics Driving innovation using complex data sets to identify risk, determining controls, parameters and risk methodologies Communicating complex issues by condensing them into a concise summary report and presentations Identifying opportunities to improve existing risk reporting and developing new key risk indicators The base salary range for this position is $80,000-$153,000 per year.   Placement in the range will vary based on job responsibilities and scope, geographic location, candidate’s relevant experience, and other factors. Base salary is only part of the total compensation package. Depending on the position and eligibility requirements, the offer package may also include bonus or other variable compensation. We offer a wide range of benefits to meet your evolving needs and help you live your best life at work and at home.  These benefits include comprehensive health care coverage and emotional well-being support, market-leading retirement, generous paid time off and parental leave, charitable giving employee match program, and educational assistance including student loan repayment, tuition reimbursement, and learning resources to develop your career.  Note, the application window closes when the position is filled or unposted. Please be advised that Fidelity’s business is governed by the provisions of the Securities Exchange Act of 1934, the Investment Advisers Act of 1940, the Investment Company Act of 1940, ERISA, numerous state laws governing securities, investment and retirement-related financial activities and the rules and regulations of numerous self-regulatory organizations, including FINRA, among others. Those laws and regulations may restrict Fidelity from hiring and/or associating with individuals with certain Criminal Histories. Certifications: Category: Risk

Full job record

Job ID63e4c70e91aedf56aae888783f2ce921e3d3a2b8
Org IDe92d1c8c-427d-4424-b3ff-5d7bcf86a944
Source IDe7fca96c-3441-41d7-b62d-02b48b9d5e34
Board IDe7fca96c-3441-41d7-b62d-02b48b9d5e34
Providerworkday
Provider Job Key/job/Jersey-City-NJ/Manager--Collateral-Risk_2129923
TitleManager, Collateral Risk
Normalized Title
Statusactive
Activeyes
Location TextJersey City, NJ
Department
Team
Employment Typefull_time
Workplace Type
Remote Policy
CountryUnited States
RegionNJ
CityJersey City
Salary Rawsalary range for this position is $80,000-$153,000 per year
Salary Min80,000
Salary Max153,000
Salary CurrencyUSD
Salary Periodyear
Source URLhttps://wd1.myworkdaysite.com/recruiting/fmr/FidelityCareers/job/Jersey-City-NJ/Manager--Collateral-Risk_2129923
Apply URLhttps://wd1.myworkdaysite.com/recruiting/fmr/FidelityCareers/job/Jersey-City-NJ/Manager--Collateral-Risk_2129923
First Seen At2026-06-06 09:43:46Z
Last Seen At2026-06-06 09:43:46Z
Last Checked At2026-06-06 09:43:46Z
Last Changed At2026-06-06 09:43:46Z
Inactive At
Source Posted At2026-06-04 00:00:00Z
Source Updated At
Raw Payload Uris3://job-postings-prod-raw-590183727216/raw/provider=workday/board=wd1.myworkdaysite.com|fmr|FidelityCareers/date=2026-06-06/2026-06-06T09-42-59-656Z-d49ccdd94a36e8a25e4497303134473ea81f2af2b82068ec07e83c53646ea524.json
Event Fields
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Parsed Structured
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  "remote_policy": null,
  "salary_period": "year",
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}
Extensions
{}
Native Structured
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    "jobDescription": "<h2></h2><h2>Job Description:</h2><p style=\"text-align:inherit\"></p><h1><b>Note: Fidelity will not provide immigration sponsorship for this position </b></h1><p></p><p></p><p><span class=\"emphasis-2\"><b>The Team</b></span></p><p>Join the Fidelity Collateral and Market Risk Management team to help protect the firm from potential losses from margin lending and trading activities of both institutional and retail customers of Fidelity Investments. The team is responsible for determining lending policy and providing continuous analysis of the risks inherent in each client’s portfolio and investment strategy. Portfolios are analyzed and evaluated daily through extensive simulation and stress analysis designed to estimate market related risks. The team develops and maintains risk models, methodologies and processes to ensure the risk framework remains robust and effective as market structures, strategies and products evolve. The candidate will work extensively with business partners and customers to help articulate risk requirements and procedures.<br /> </p><p><span class=\"emphasis-2\"><b>The role will include:</b></span></p><ul><li>Analysis of risk exposures and collateral requirements using stress testing and scenario analyses.</li><li>Daily monitoring of client portfolios to identify material risk exposures.</li><li>Regular interaction with account managers as well as business and risk partners on risk-related issues.</li><li>Analyzing market events and providing ad-hoc exposure summaries which estimate the impact on client portfolios.</li><li>Partnership with the Risk Data Science and Analytics team to enhance risk analytics and trend analysis.</li><li>Partnership with the Risk Product Development team for ongoing improvements to risk tools.<br /> </li></ul><p><span class=\"emphasis-2\"><b>The Expertise You Have</b></span></p><ul><li>Excellent interpersonal, verbal and written communication skills; team player</li><li>Bachelor’s Degree (Finance or STEM based degree preferable)</li><li>5 years of Relevant Risk Management experience, preferably collateralized lending</li><li>Strong analytical skills</li><li>Deep knowledge of financial markets and products</li><li>Solid understanding of risk management principles and the ability to analyze portfolio strategies and risks using stress testing and scenario analyses<br /> </li></ul><p><span class=\"emphasis-2\"><b>The Skills You Bring</b></span></p><ul><li>You have strong analytical and statistical skills; you are inquisitive and detail oriented</li><li>You have a solid understanding of investment products, margin lending, trading, clearing and the related regulations</li><li>You have the ability to assess and identify the inherent risks in a business or activity</li><li>You are experienced with Excel, Bloomberg, Powerpoint, database queries and analytical tools and methodologies</li><li>You are a self-starter able to work independently and manage time to drive initiatives from beginning to end</li><li>You have very strong written and verbal communication skills</li><li>You are collaborative with colleagues and thrive in a team environment</li><li>You have experience in taking care of and resolving conflicts<br /> </li></ul><p><b>The Value You Deliver</b></p><ul><li>Extensive experience with data analytics, stress testing, liquidity, market and operational risks</li><li>Optimally balancing multiple initiatives and responsibilities within prescribed timelines</li><li>Ability to engage interested parties and facilitate discussions, meetings and walkthroughs of risk policy and analytics</li><li>Driving innovation using complex data sets to identify risk, determining controls, parameters and risk methodologies</li><li>Communicating complex issues by condensing them into a concise summary report and presentations</li><li>Identifying opportunities to improve existing risk reporting and developing new key risk indicators</li></ul><p style=\"text-align:inherit\"></p><p style=\"text-align:inherit\"></p>The base salary range for this position is $80,000-$153,000 per year.  <p style=\"text-align:left\">Placement in the range will vary based on job responsibilities and scope, geographic location, candidate’s relevant experience, and other factors.</p><p style=\"text-align:inherit\"></p><p style=\"text-align:left\">Base salary is only part of the total compensation package. Depending on the position and eligibility requirements, the offer package may also include bonus or other variable compensation.   </p><p style=\"text-align:inherit\"></p><p style=\"text-align:left\">We offer a wide range of <a target=\"_blank\" href=\"https://jobs.fidelity.com/benefits/\">benefits</a> to meet your evolving needs and help you live your best life at work and at home.  These benefits include comprehensive health care coverage and emotional well-being support, market-leading retirement, generous paid time off and parental leave, charitable giving employee match program, and educational assistance including student loan repayment, tuition reimbursement, and learning resources to develop your career.  Note, the application window closes when the position is filled or unposted.</p><p>Please be advised that Fidelity’s business is governed by the provisions of the Securities Exchange Act of 1934, the Investment Advisers Act of 1940, the Investment Company Act of 1940, ERISA, numerous state laws governing securities, investment and retirement-related financial activities and the rules and regulations of numerous self-regulatory organizations, including FINRA, among others. Those laws and regulations may restrict Fidelity from hiring and/or associating with individuals with certain Criminal Histories.</p><p></p><p></p><h2></h2><p style=\"text-align:inherit\"></p><h2>Certifications:</h2><h2></h2><p style=\"text-align:inherit\"></p><h2>Category:</h2><h2></h2>Risk",
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      "descriptor": "499 Washington Blvd., Jersey City NJ"
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}
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