Risk & Treasury Manager | Global Multi-Strategy Investment Firm
Location: London Type: Permanent Salary: Open - flexible for the right candidate
Overview A leading global multi-strategy investment firm is seeking a Risk & Treasury Manager to enhance their equities risk oversight and contribute to broader financing and optimisation strategies. This is a newly created position in a growing team that sits closely with portfolio managers, quants, and treasury functions.
Responsibilities
Lead risk oversight and margin analysis for equity strategies, complementing the current focus on Fixed Income/Rates RV.
Collaborate directly with traders to analyse financing costs, margin requirements, and trading efficiency.
Partner with quant and optimisation teams to develop and implement improvements across risk and treasury processes.
Act as a key stakeholder in cross-functional discussions, providing valuable input on how financing and margin impact PnL and risk-adjusted performance.
Requirements
5-10 years of experience in a relevant risk, treasury, or optimisation role (flexible for senior candidates).
Strong technical knowledge of equity markets, financing, and margin.
Proven ability to work with traders and communicate effectively across different business units.
Experience working in buy-side environments (hedge fund, asset manager, or proprietary trading firm preferred).