Investment Risk Analyst
Victory Capital ‚Ä¢ Boston, Massachusetts ‚Ä¢ Full Time ‚Ä¢ $75,000–$90,000 / year
Posted on Sat, Aug 8, 2026
Investment Risk Analyst
Boston, MA
Pioneer Investments is a distinguished investment franchise within Victory Capital Management, with a long history of delivering disciplined, research-driven investment strategies. Our front office Investment Risk team plays a critical role in the investment process — partnering directly with Portfolio Managers to ensure risk is understood, measured, and managed with precision.
About Victory Capital:
Victory Capital is a diversified global asset management firm and employs a next-generation business strategy that combines boutique investment qualities with the benefits of a fully integrated, centralized operating and distribution platform.
Victory Capital provides specialized investment strategies to institutions, intermediaries, retirement platforms and individual investors. With 12 autonomous Investment Franchises and a Solutions Business, Victory Capital offers a wide array of investment products and services, including mutual funds, ETFs, separately managed accounts, alternative investments, third-party ETF model strategies, collective investment trusts, private funds, a 529 Education Savings Plan and brokerage services.
Victory Capital is headquartered in San Antonio, Texas, with offices and investment professionals in the U.S. and around the world. To learn more please visit www.vcm.com or follow Victory Capital on Facebook, Twitter, and LinkedIn.
General Summary and Purpose:
We are looking for an Investment Risk Analyst who brings both analytical rigor and intellectual curiosity to the table. This is not a back-office compliance role — it is a seat at the front office table, where your work directly shapes how our portfolio managers understand and navigate risk.
You will maintain and enhance sophisticated risk models, synthesize complex quantitative outputs into clear investment insights, and serve as a trusted analytical partner across Portfolio Management, Institutional Marketing, RFP, and senior investment committees. If you are someone who gets energized by hard problems, thrives in a fast-paced investment environment, and wants your work to matter, this role was built for you.
You Will:
Core Risk Analytics & Reporting
- Maintain, validate, and continuously enhance front office investment risk models used by Portfolio Managers across strategies
- Maintain, validate, and continuously enhance front office investment risk models used by Portfolio Managers across strategies
- Prepare and distribute comprehensive investment risk reports covering market risk metrics (VaR, tracking error, stress testing), liquidity analysis, factor exposures, and other key risk indicators
- Deliver risk attribution analysis and portfolio diagnostics on demand, supporting both pre- and post-trade investment decisions
- Translate complex quantitative outputs into clear, actionable narratives for investment teams and senior stakeholders
Cross-Functional Partnership
- Collaborate directly with Portfolio Managers on ad hoc quantitative research, special projects, and portfolio construction questions
- Serve as a key analytical resource for RFP, Institutional Marketing, and Performance teams on investment risk inquiries
- Support the global investment risk team across multiple regions, providing consistent and timely analysis for retail and institutional clients
- Partner with investment management to build risk literacy — helping portfolio teams understand risk results, interpret model outputs, and apply insights to their decision-making
- Present findings clearly and confidently to senior audiences including the Investment Committee and Risk Committee
You Have:
Education & Experience
- Bachelor's degree in quantitative discipline: Finance, Mathematics, Statistics, Data Science, Computer Science, or Engineering
- 3–5 years of professional experience in investment management, risk analytics, or quantitative research
Investment & Risk Knowledge
- Solid understanding of investment fundamentals across equities, fixed income, derivatives, and portfolio construction
- Working knowledge of risk metrics including tracking error, VaR, beta, factor exposures, drawdown, and Sharpe ratio
- Hands-on experience with industry risk platforms such as Bloomberg PORT, FactSet, or MSCI RiskMetrics
Skills & Attributes
- Strong written and verbal communication skills — ability to translate quantitative outputs for non-technical stakeholders
- A builder's mindset: intellectually curious, with a natural drive to automate, improve, and innovate
- Proficient in Microsoft Excel and VBA; comfortable managing both structured projects and fast-turnaround ad hoc requests
- Self-directed and organized, with the ability to prioritize competing demands in a dynamic environment
Ideal candidate will also have
- Experience with Python or SQL for data analysis and automation
- Familiarity with Performance Attribution methodologies
- Progress toward a CFA or Master’s degree a plus
Our Benefits:
Victory Capital Management offers excellent Medical, Dental, Vision plans, Flexible PTO, Family Medical and Disability Leaves, Education Tuition Reimbursement and a 401k plan with a generous employer match.
Target Compensation:
The target base salary range for this position is $75,000 to $90,000
Salaries are determined based on internal equity, internal salary ranges, market data/ranges, applicant’s skills and prior relevant experience, certain degrees, and certifications.
Victory Capital Management operates a pay-for-performance compensation philosophy and total compensation may vary based on role, location, department and individual performance.
Victory Capital Management’s total compensation package includes the opportunity for annual compensation bonuses and/or commissions and a generous benefits package.
We are committed to equal employment opportunity without regard to actual or perceived race, color, creed, religion, national origin, ancestry, citizenship status, age, sex or gender (including pregnancy, childbirth, pregnancy-related conditions, and lactation), gender identity or expression (including transgender status), sexual orientation, marital status, military service and veteran status, physical or mental disability, genetic information, height, weight, hair texture or a hairstyle historically associated with race to include braids, locks, or twists; or any other characteristic protected by applicable federal, state, or local laws and ordinances.
More live risk_analyst roles
- Commodity Risk Analyst at Western Milling — Goshen, California, United States
- Risk Analyst I at Everest Group — Warren, New Jersey, US
- Operational Risk Analyst at City of New York — New York City, New York, United States
- Model Risk Analyst at State Employees' Credit Union — Raleigh, North Carolina, United States
- Risk Analyst at Corpay — Brentwood, Tennessee, United States
- Technology Risk Analyst Associate at Flagstar Bank — New York, United States
- Third Party Risk Analyst at NBT Bancorp — Utica, New York, United States
- Risk Analyst at Public Partnerships (Remote)
- Quantitative Model Risk Analyst at Flagstar Bank — Hicksville, New York, United States
- Asc Cybersecurity Gov&Risk Analyst - Intern/Co-op Conversion 2027 at Duke Energy — Charlotte, North Carolina, United States
- Fraud Risk Analyst at Guaranteed Rate (Remote)
- Senior Insurance and Risk Analyst at Quaker Chemical Corporation — Conshohocken, Pennsylvania, United States
- Foreign Investment Risk Analyst at Amentum (Remote)
- Senior Market Risk Analyst at Cenovus — Calgary, Alberta, Canada
- Financial Crime Risk Analyst II at TD Bank — Toronto, Ontario, Canada
- Treasury Risk Analyst at Hlf 2023 — Lunenburg, Nova Scotia, Canada
- AML Risk Analyst at Peoples Group 2025 — Vancouver, British Columbia, Canada
- AML Risk Analyst at Peoples Group — Vancouver, British Columbia, Canada
- Senior Risk Analyst, Enterprise Risk Management at KeyBank (Remote)
- Senior Financial Crime Risk Analyst - Sanctions (5250) at TD Bank — Toronto, Ontario, Canada
- Senior Financial Crime Risk Analyst - Sanctions at TD Bank — Toronto, Ontario, Canada
- Senior Risk Analyst at Regional Municipality of Peel — Brampton, Ontario, Canada
- Model Risk Analyst II - Governance & Reporting at M&T Bank (Remote)
- Risk Analyst, Contracts & Compliance at AltaGas — Calgary, Alberta, Canada
- Investment Risk Analyst Intern at Amundi — Paris, France
- Risk Analyst, Trade Credit - 6 months contract at Intact Financial — Ottawa, Canada
- Risk Analyst at Bridge Specialty Group — Atlanta, Georgia, United States
- Risk Analyst (Merchant Contact Centre) at Wilson — United States
- Fraud Risk Analyst at Northern Trust — Limerick, Ireland
- Risk Analyst at Turner & Townsend — Dublin, Ireland
- Lending And Risk Analyst Senior I at State of Maryland — Prince George's, Maryland, United States
- Investment Risk Analyst Intern at Crédit Agricole — Paris, France
- Risk Analyst/BSA Officer at Decorah Bank and Trust Company — Decorah, Iowa, United States
- Pharmacy Risk Analyst at Ryan Specialty (Remote)
- Associate Risk Analyst at Navy Federal — Pensacola, Florida, United States
- Enterprise Risk Analyst at AMG — Manassas, Virginia, United States
- Risk Analyst at First National Bank of America — East Lansing, Michigan, United States
- Risk Analyst at Janney Montgomery Scott — Philadelphia, Pennsylvania, United States
- Compliance & Risk Analyst, SOX Focus, Progression (Level II) at TECO Energy — Tampa, Florida, United States
- Corporate Banking Business Unit Operational Risk Analyst- QC Compliance at Regions Bank — Hoover, Alabama, United States
- Risk Analyst at Moss — Cypress Office (FL), US
- Senior Financial Crime Risk Analyst - Quality Assurance (Detection) at TD Bank — Toronto, ON, Canada
- Senior Credit Risk Analyst at Felix Technologies — San Francisco, California, US
- Governance and Accounting Risk Analyst at Ameris Bank — Atlanta, Georgia, United States
- Risk Analyst at US Claims Capital — Boca Raton, FL, United States
- Senior Credit Risk Analyst, ERM at Canada Life — Toronto, Canada
- Credit Risk Analyst, Credit Strategy & Operations at Amazon — Seattle, Washington, United States
- Senior Credit Risk Analyst – Asset-Backed Securities at Axiom Path — New York City, New York, United States