Market Risk Manager (NYC or London)

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Summary

A four-billion-dollar credit fund is looking for a Market Risk Manager to join their team. This role will work hand-in-hand with the Chief Risk Officer, responsible for helping oversee investment risk management within the firm. The role is primarily focused on front office activities and does not require extensive programming skills. It does, however, involve… >>>


Company Information:

Our client was founded in 2016, starting with $300M, and now manages over $4B in assets under management across the Long/Short Credit space. The firm has had consecutive double digit growth annually and was up 25% in 2022.


Job Description:

A four-billion-dollar credit fund is looking for a Market Risk Manager to join their team. This role will work hand-in-hand with the Chief Risk Officer, responsible for helping oversee investment risk management within the firm. The role is primarily focused on front office activities and does not require extensive programming skills. It does, however, involve frequent interaction with the firm’s investment team.

This individual will have a strong background in market and investment risk management, preferably with more than 5 years of experience and possibly having supervised multiple teams at a multi-strategy firm. This position can be sat in either London or New York, and credit experience is a must.


Requirements / Qualifications:
  • Credit experience
  • 5+ years of Market and Investment Risk experience

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