Senior Investment Risk Analyst – Emerging Markets | Central London We’re working with a leading global investment firm looking to hire a Senior Risk Analyst with a strong focus on emerging markets into their central London office. In this hands-on role, you’ll work closely with portfolio managers, traders, and senior risk stakeholders to assess and monitor market and currency risk across a range of emerging market exposures. You’ll be instrumental in enhancing risk reporting, stress testing, and scenario analysis—helping shape a deeper understanding of volatility and potential downside across frontier and developing economies. What they’re looking for: Proven experience in Investment risk within an asset manager, investment bank, or trading environment In-depth understanding of emerging markets —including macroeconomic and political risk factors Solid grasp of fixed income and derivative instruments used in EM portfolios Must have Strong technical skills in Python. Confident, detail-oriented, and able to challenge constructively across teams The role is London-based. If you're looking for a dynamic position where you can take ownership, support risk-aware decision-making, and build your expertise across emerging market strategies, get in touch to learn more. Contact Georgina – gec@barclaysimpson.com – to find out more.