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Hedge Fund - Risk Manager

B&FS Risk
Closing date
22 Oct 2021

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Contract Type
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Key Job Role:
  • Assessing the evolving risk profile of the firm and individual strategies
  • Ad hoc risk and market analysis
  • Building new and innovative risk management measures/frameworks
  • Assessing the skill of the individual trading teams
  • Providing advice and input to the various trading teams
  • Extremely strong analytical skills and creativity

Key Skills Required
  • A keen and active interest in financial markets
  • A broad-based knowledge of products, including derivatives, spanning all asset classes
  • A proficient knowledge of financial mathematics and market risk measurement techniques
  • Attention to detail, a self-starter and a naturally curious mindset
  • Able to communicate clearly and concisely
  • 5 - 10 years of prior financial markets experience, at a bank or hedge fund
  • Excellent academics a minimum 2:1 degree in a STEM subject from a Russel Group university, and A Levels at grade A, or international equivalents
  • Prior experience using at least one of the following: Tableau, SQL, Excel, RiskMetrics or Python

If you would like to discuss this role or other roles within the Hedge Fund sector please do not hesitate to contact myself on
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