Job DescriptionOur client is a successful multi-strategy hedge fund with a large AUM and double-digit returns over the past 3 years.
The firm is actively building up its new Fixed Income investment team and, as a result, it is growing its Risk Management team to support such expansion. We are looking to hire a Senior Risk Manager who will take charge of risk managing the fund’s new Fixed Income strategies, traded in a discretionary and systematic fashion.
The Senior Risk Manager will be responsible for leading the research and implementation of new areas of risk management to support Fixed Income trading. You will be involved in integrating new internal risk models, optimising capital usage, creating new risk guidelines and working directly with the Fixed Income Portfolio Managers to advise on risk limits, exposures and hedging.
As the team grows to reflect the firm's expansion into new areas of investments, you could progress vertically in the risk team or move transversally into other aspects of the business (including portfolio management).
Our client is known to offer highly competitive compensation packages, in line with other multi-strategy hedge funds. Additionally, they have a strong commitment to support employees in their professional progression and in attaining a healthy work-life balance.