We’re partnering with a leading global asset manager in their search for an Investment Risk Manager with strong fixed income expertise and excellent Python skills. This is an exciting opportunity to join a high-performing risk team that plays a critical role in portfolio oversight, analytics, and strategy support.
What You’ll Be Doing:
* Providing independent investment risk oversight across a wide range of fixed income portfolios
* Enhancing and automating risk reporting and analytics using Python
* Collaborating closely with portfolio managers, quants, and senior stakeholders to communicate key risks and drive decision-making
* Supporting stress testing, scenario analysis, and model development
* Helping to evolve risk tools and frameworks in a dynamic investment environment
What We’re Looking For:
* Strong experience in investment risk, ideally in a fixed income or Multi-Asset -focused environment
* Excellent knowledge of risk metrics
* Confident Python skills
* Strong communication skills and the ability to engage with both technical and non-technical stakeholders
Please contact Georgina - gec@barclaysimpson.com to express your interest and get the process started!