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Senior Risk Manager | London, UK

Investigo

London

On-site

GBP 100,000 - 125,000

30+ days ago

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Job summary

An established industry player in the hedge fund sector is on the lookout for a Senior Risk Manager to enhance their credit market portfolios. This pivotal role involves overseeing the risk management framework, working alongside portfolio managers and traders to identify and mitigate risks effectively. With a commitment to delivering superior returns, the firm offers a dynamic environment where you can progress to senior leadership roles like Head of Risk or Chief Risk Officer. If you have a strong analytical background and a passion for risk management, this is an exciting opportunity to make a significant impact.

Qualifications

  • 7+ years of risk management experience in credit markets.
  • Strong analytical and quantitative skills with proficiency in risk management tools.

Responsibilities

  • Develop and implement risk management strategies for credit portfolios.
  • Monitor and analyze risk exposures and conduct stress testing.

Skills

Analytical Skills

Quantitative Skills

Risk Management

Communication Skills

Presentation Skills

Ability to Work in Fast-Paced Environment

Education

Bachelor’s degree in Finance

Advanced degree or professional certification (CFA, FRM)

Tools

Risk Management Tools and Software

Job description

My client is a leading hedge fund specializing in credit markets. We are committed to delivering superior returns to our investors through innovative strategies and rigorous risk management. We are seeking a highly skilled and experienced Senior Risk Manager to join our dynamic team. Opportunity to progress to Head of Risk / Chief Risk Officer.

Job Description: As a Senior Risk Manager, you will be responsible for overseeing the risk management framework for our credit market portfolios. You will work closely with portfolio managers, traders, and analysts to identify, assess, and mitigate risks, ensuring the stability and profitability of our investments.

Key Responsibilities:

  1. Develop and implement comprehensive risk management strategies for credit market portfolios.
  2. Monitor and analyse risk exposures, including market, credit, and operational risks.
  3. Conduct stress testing and scenario analysis to evaluate potential impacts on the portfolio.
  4. Collaborate with portfolio managers to optimize risk-adjusted returns.
  5. Ensure compliance with regulatory requirements and internal risk policies.
  6. Prepare and present risk reports to senior management and investors.

Skills required:

  1. Bachelor’s degree in Finance, Economics, or a related field; advanced degree or professional certification (e.g., CFA, FRM) preferred.
  2. Minimum of 7 years of experience in risk management within the credit markets.
  3. Strong analytical and quantitative skills.
  4. Proficiency in risk management tools and software.
  5. Excellent communication and presentation skills.
  6. Ability to work effectively in a fast-paced, dynamic environment.
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