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Associate Risk Analyst
The Hartford. Assist in applying risk management tools to improve measurement of product-specific risks and overall financial market risk .
Posted 10/8/2026full-timeHartford • Connecticut • United StatesJuniorMid-Level💰 $69,200 - $103,800 per yearWebsite
Core Competencies
Role fitCore Competencies
Use this summary to align your resume positioning with the role.
Demonstrates a strong foundation in Enterprise Risk Management, with a focus on financial market risk, regulatory requirements, and product-specific risk assessment. Capable of analyzing complex problems and making informed recommendations while collaborating effectively within a team environment.
Highest-signal resume keywords
Enterprise Risk ManagementFinancial Market RiskRegulatory RequirementsCommunication SkillsAnalytical Problem Solving
ATS Keywords
Tailor your resumeApplicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard Skills
Risk Management ToolsProduct-Specific Risk MeasurementCorporate Profitability AnalysisStatutory AccountingGAAP AccountingEconomic AccountingAsset Liability ManagementEquity Risk ManagementInterest Rate Risk ManagementOperational Risk Management
Soft Skills
Leadership PotentialInterpersonal SkillsPresentation SkillsResearch SkillsCollaboration
Industry Keywords
Capital MarketsCurrency Risk ManagementLongevity Mortality Exposure ManagementProduct Design AssessmentReinsurance Optimization
About the role
Key responsibilities & impact- Assist in applying risk management tools to improve measurement of product-specific risks and overall financial market risk
- Build in-depth knowledge of one or more product lines
- Develop understanding of corporate profitability objectives and risk tolerance
- Establish working knowledge of regulatory requirements and Stat, GAAP, and economic accounting for related products and strategies
- Develop understanding of the global economy and capital markets
- Gain exposure to Asset Liability Management, Equity Risk Management, Interest Rate Risk Management, Currency Risk Management, Longevity Mortality Exposure Management, Operational Risk Management, Product Design Assessment, Mortality and Morbidity Risk, Dynamic Policyholder Behavior, and Reinsurance Optimization
- Assist in developing and applying sophisticated tools to enhance measurement and monitoring of risks facing the firm
Requirements
What you’ll need- Students expecting to graduate in May
- Desire to pursue a career in Enterprise Risk Management
- Demonstrated leadership potential through classroom projects and extracurricular activities
- Strong communication, presentation, interpersonal, and research skills
- Ability to work effectively, collaborate, and influence at a peer level within a team setting
- Ability to analyze complex problems and make sound recommendations in a fast-paced environment
- Cumulative 3.0 GPA (4.0 scale or equivalent) or higher at the time of graduation
Benefits
Comp & perks- Exposure to a best-in-class Enterprise Risk Management organization
- Opportunity to identify the right risk career path
- Individual development through project work, networking opportunities, and mentoring from company leaders
- Short-term or annual bonuses
- Long-term incentives
- On-the-spot recognition
- Hybrid work arrangement