Multiple Risk Management Opportunities | Hedge Funds & Prop Trading Firms | London & Global
I am currently working on a number of risk management opportunities across leading hedge funds and prop trading firms, spanning fixed income, credit, rates and equities.
These roles sit within high-performing investment platforms and offer the opportunity to work directly with portfolio managers and trading teams, providing real-time risk oversight and contributing to investment decision-making.
We are specifically looking to speak with:
* Candidates currently in risk roles within hedge funds or prop trading firms
* Individuals in first line / front office market risk roles within banks
* Traders within banks looking to transition into a hedge fund or prop trading risk position
Requirements:
* Strong market risk management experience across any of the above asset classes
* Demonstrated ability to engage with trading desks and understand portfolio construction
* Solid technical skillset (Python, risk systems, analytics, stress testing, etc.)
* Commercial mindset and ability to operate in a fast-paced, front office environment
Please note, we are only considering candidates from the above backgrounds. Profiles outside of hedge fund / prop trading risk, bank market risk, or trading will not be relevant for these positions.
If you are open to exploring opportunities within hedge funds or prop trading firms, or would like to understand how your profile compares to the market, feel free to get in touch.