Investment Risk Analyst

Nashville, Tennessee
Full time position, with a base salary, bonus, relocation package (if necessary)
31 Aug 2021
30 Sep 2021
Job Function
Risk Management
Employment Type
Full Time

The Risk Management team is responsible for implementing AB’s Enterprise Risk Management framework, encompassing investment, operational and counterparty risk. The Investment Risk Management team is independent of the portfolio managers and is responsible for ensuring that portfolios are appropriately structured, monitored and reviewed. The team covers all of AB’s assets under management across all asset classes, strategies and client categories.

AB is looking to hire an Investment Risk Analyst. The role is expected to support risk managers who cover strategies across multiple asset classes and will report to the Head of Investment Risk.

The analyst will support the risk managers in the investment risk department.


  • Monitor, review and analyze market and liquidity risks of a wide range of AB managed funds and separate accounts
  • Prepare risk reports for senior risk managers
  • Develop and implement risk reports and analysis
  • Document workflow, programs and processes
  • Implement risk monitoring metrics and trigger/limit levels
  • Support central platforms for risk analysis by managing data, reports, and metrics already in place. Help establish/implement new tools and systems for risk analysis
  • Perform in-depth analysis of portfolios or strategies, with guidance;
  • Stay abreast of developments/trends in financial markets and understand impact to AB’s portfolio strategies across disciplines
  • Work closely with AB’s Legal and Compliance teams on global regulatory risk issues, coordinate risk activities with local legal/compliance/audit efforts and staff


  • University degree
  • 3+ years relevant work experience in investment management, preferably on the buy-side
  • Excellent attention to detail and organization skills
  • Proactive self-starter with a collaborative approach to problem solving
  • Strong ability to multi-task and to work under pressure with tight timelines
  • Excellent communications and interpersonal skills
  • Proficient in MS Office applications (Excel, Access, PowerPoint, Word)
  • Knowledge of investment risk and statistics, strong interest to learn


  • Proficient understanding of financial markets, asset classes, security attributes, and fund operations
  • Relevant work experience in investment management preferably in investment risk
  • Proficiency in SQL is strongly preferred, basic knowledge of database structure and querying, demonstrated ability to mine large datasets for analytical insights
  • Working knowledge of basic programming or strong interest in learning and achieving proficiency in basic programming (e.g. Python)


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