A leading global investment firm seeks a Risk Manager within Asset Management Alternatives. The ideal candidate has a Bachelor's Degree and 2-4 years of financial services experience, with proven knowledge of quantitative analysis and risk methodologies. Responsibilities include collaborating with investment teams, developing risk processes, and assessing new products. Applicants should have strong communication and analytical skills and be comfortable in a fast-paced environment. This role offers opportunities for growth within a diverse workplace.
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