Senior Risk Manager (m/w/d)
Selby Jennings London, United Kingdom
Posted 18 days ago | Hybrid | Permanent | Negotiable
About the Role
My client, a multi-strategy asset management firm managing approximately $20 billion in assets, is seeking a Senior Risk Manager to join their Equity team. The firm specializes in hedge funds, alternative investments, and growth equity, aiming to deliver consistent, uncorrelated returns.
Main Responsibilities:
1. Oversee risk monitoring and management of Equity portfolios.
2. Support and challenge Portfolio Managers in investment and risk processes.
3. Monitor global market developments and define risk scenarios.
4. Enhance processes, models, tools, and systems for risk management.
5. Collaborate with the global risk team to monitor market impacts and drive results.
Your Profile:
1. Bachelor's or Master's degree in Finance, Statistics, STEM, or related fields.
2. Proven experience in risk, quant, structuring, or trading roles.
3. Strong programming skills in Python.
4. Expertise in long/short equity investments, equity factor modelling, risk prediction, and stress testing.
Application Process
If interested, please apply with your current CV in PDF format or contact Giovanny Benztio.
We look forward to your application. Please note that only suitable candidates will be contacted. All applications are confidential.
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