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Senior Risk Manager - Credit Hedge Fund - London

Job LocationLondon
EducationNot Mentioned
SalaryCompetitive salary
IndustryNot Mentioned
Functional AreaNot Mentioned
Job TypePermanent , full-time

Job Description

Reporting into the CRO, the individual will assume primary risk responsibility for the funds London-based PMs, mainly covering L/S credit but also private credit, CLOs and structured products.

  • Working closely with Portfolio Managers to analyse, quantify and manage risks
  • Enhancingexisting risk methodology across investment portfolios and asset classes
  • Ability to translate results into meaningful solutions to enhance decision making
  • Application of cutting-edge quantitative approaches to conceptualise and create bespoke attribution analysis for various investment strategies
The successful candidate will be a high-performance individual with 7+ years of relevant experience underpinned by a record of academic excellence.Additionally, they will possess:
  • Detailed knowledge of risk techniques such as customised attributions,regression analysis,sensitivities, simulation and stress testing.
  • Extensive experience working with credit & associated derivative products
  • Outstanding communication skills, including the ability to clearly and succinctly deliver thoughtful analysis; this is paramount as there is extensive interaction with the firms management team and PMs
  • Althoughnot essential, a degree of technical proficiency as it relates to programmingand the handling of large data sets would be highly beneficial
Please submit an application for more detailed information and a discussion in confidence.

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