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Risk Analyst - Macro Hedge Fund

London, United Kingdom
£market leading
Closing date
Feb 21, 2023

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Job Function
Hedge Funds
Industry Sector
Finance - General
Employment Type
Full Time
  • Maintaining, enhancing and streamlining current risk generation and reporting infrastructure to dependably provide timely and accurate risk information to the Risk Team, Portfolio Managers and Senior Management.
  • Appropriately assess the current structure of risk reporting and analytics and improve it using up-to-date technologies and resources (e.g., Python, Strata, FinCad, Tableau).
  • Conduct research and implement libraries for pricing, Greeks, PL explain, stress testing, risk analysis and various ad-hoc research projects.
  • Work with technology and Pricing & Analytics department to ensure that proper risk management technology needs are addressed and kept best-in-class
  • Collaborate with Portfolio Managers and other Departments (Middle Office, Operations etc) to achieve a solid understanding of positions and market awareness in firm's significant exposures.
  • Work will combine coverage of UK, US and Asia portfolio managers through daily reporting and global Risk team projects

  • 1-2 years of experience as a Risk or Investment/Trading Analyst at a bank or investment firm.
  • Proficiency in programming, scripting, data analysis and reporting languages like Python, R, SQL, Tableau.
  • Some exposure to the theory and practice of derivative pricing models, risk models, statistical methods and portfolio optimisation alongside the ability and motivation to develop this skillset.
  • Strong academic background. A finance and/or other mathematically intensive concentration (Mathematics, Physics, Comp. Sci., Engineering or similar) preferred.

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