Market Risk Manager – Hedge Fund - London
Company Overview:
Our client is a London-based multi strategy hedge fund. They are currently seeking a Market Risk Manager to join their risk team and contribute to the success and growth of the firm.
Role Overview:
As a Market Risk Manager, you will play a crucial role in maintaining and enhancing the firm's risk frameworks and programme. You will be responsible for a range of risk related tasks with a strong focus on rates trading.
Key Responsibilities:
· Daily monitoring of the risks on portfolios, including market, liquidity and counterparty risks
· Perform ad-hoc risk analysis and discuss potential risk issues with the Risk team
· Regular interaction with portfolio managers
· Produce reports on Risk & performance for various stakeholders
· Assist with the preparation of reporting for regular Risk meetings
· Recommend improvements to the design and implementation of workflows
· Ad hoc project work
Requirements:
· Bachelor's degree in a related field.
· Prior experience (4-10 years) covering market risk, ideally with exposure to rates or other fixed income trading.
· Experience with Python and PowerBI preferred.
· Excellent quantitative skills.
· Ability to communicate complex issues clearly and effectively to diverse stakeholders.
If you believe you have the skills and experience to excel in this role and contribute to the firm’s continued success, we encourage you to apply.
For more details, please contact Jon Pettet at