Enable job alerts via email!

Senior Investment Risk Analyst | London, UK | Hybrid

Meredith Brown Associates

London

On-site

GBP 60,000 - 100,000

13 days ago

Boost your interview chances

Create a job specific, tailored resume for higher success rate.

Job summary

An outstanding opportunity has arisen within a highly regarded boutique asset manager for an experienced Investment Risk professional. This role involves maintaining and developing a robust investment oversight framework, measuring and reporting investment risks, and engaging with stakeholders for portfolio analysis. The ideal candidate will have strong experience in financial services, particularly in asset management, and will be adept at using quantitative models and portfolio analytics software. Join a dynamic team where your expertise will contribute to informed decision-making and innovative risk management strategies.

Qualifications

  • 5-7 years experience in financial services, ideally in asset management.
  • Strong understanding of equity, fixed income, and derivatives products.
  • Experience with data management and scripting for analysis.

Responsibilities

  • Monitor and report investment risks across all strategies.
  • Collaborate with portfolio managers to challenge portfolio construction.
  • Develop modelling methodologies and tools for investment oversight.

Skills

Portfolio Analysis

Risk Management

Data Analysis

Quantitative Modelling

Communication Skills

Stress Testing

ESG Risk Management

Education

Bachelor's Degree in Finance or related field

Tools

Bloomberg PORT

Axioma

Aladdin

RiskMetrics

Python

R

SQL

PowerBi

Tableau

Grafana

Job description

Senior Investment Risk Analyst

Meredith Brown Associates London, United Kingdom

An outstanding opportunity has arisen within this highly regarded boutique Asset Manager for an experienced Investment Risk professional. You will be part of a team responsible for maintaining and developing a robust investment oversight framework for the firm. This includes (but is not limited to) measuring, monitoring and reporting all investment risks while engaging with key stakeholders across the business and outside the firm to provide portfolio analysis and insights.

Role & Responsibilities

  1. Continuously monitor and report investment risks across all strategies (e.g. liquidity, volatility, factor exposures, rates or credit sensitivities).
  2. Ensure portfolios remain aligned with their investment risk profiles. Investigate exceptions and follow-up until resolution.
  3. Understand and use quantitative models to analyse portfolio positioning and implications for portfolio risk or performance.
  4. Collaborate with portfolio managers, traders and investment analysts to understand risk appetite, challenge portfolio construction, and deliver insightful analysis. Clearly communicate key findings to support informed decision-making.
  5. Develop modelling methodologies and tools to support complex portfolio analysis and a scalable investment oversight framework. This requires coding data queries, data analysis programs, developing automated reporting and data visualisation solutions.
  6. Be aware of and analyse regulatory requirements (e.g. UCITS and AIFMD) and establish the necessary processes or monitoring mechanisms to adhere to rules.
  7. Perform stress-testing activities, design and run adequate stress scenarios, interpret and report results.
  8. Perform model validation exercises including proposing validation plans, running validation checks, highlighting key assumptions and limitations.
  9. Incorporate climate change and broader ESG risks in the investment oversight framework.
  10. Be a key point of contact for investment risk and portfolio analysis related queries across the firm.
  11. Develop and maintain policies and procedures for example (but not only) the investment risk framework or model risk policy.
  12. Guide and mentor more junior members of the team.

Qualifications

  1. Circa 5 – 7 years experience within financial services (ideally an asset manager) or a vendor of portfolio analytics solutions.
  2. Strong understanding of equity, fixed income, and derivatives products, including characteristics, pricing and portfolio implications.
  3. Experience analysing portfolios, interpreting risk and performance drivers, and applying investment concepts in a practical, data-driven manner.
  4. Experience using portfolio analytics software (e.g. Bloomberg PORT, Axioma, Aladdin, RiskMetrics). Knowledge and experience of multi-factor models strongly preferred.
  5. Experience with scenario analysis and stress testing.
  6. Demonstrated experience with data management and scripting (e.g. Python, R, SQL) to efficiently produce analysis and reports.
  7. Experience using BI tools to efficiently visualise and distribute data (e.g. PowerBi, Tableau, Grafana).
  8. Experience with UCITS and AIFMD products and strong knowledge of those regulations.
  9. Experience managing risk for ESG portfolios.

Please note that due to the high volume of applicants responding to our adverts we are regrettably not able to feedback on all applications; only successful candidates will be contacted.

Get your free, confidential resume review.
or drag and drop a PDF, DOC, DOCX, ODT, or PAGES file up to 5MB.

Similar jobs

Senior Credit Risk Analyst | London, UK | Hybrid

Only for registered members

London

Hybrid

GBP 40,000 - 70,000

21 days ago

Senior Fixed Income Business Analyst | London, UK | Hybrid

Only for registered members

London

Hybrid

GBP 60,000 - 100,000

28 days ago