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Selby Jennings
Manhattan, New York, United States
(on-site)
Posted
1 day ago
Selby Jennings
Manhattan, New York, United States
(on-site)
Job Type
Full Time
Job Function
Other
Senior Investment Risk Manager
The insights provided are generated by AI and may contain inaccuracies. Please independently verify any critical information before relying on it.
Senior Investment Risk Manager
The insights provided are generated by AI and may contain inaccuracies. Please independently verify any critical information before relying on it.
Description
A top-tier global asset manager is looking to bring on a Sr. Investment Risk Manager at a pivotal time of growth and transformation across its investment risk platform. Sitting within a highly visible risk function, you'll play a critical role in shaping how short-duration and liquidity-focused strategies are analyzed, monitored, and optimized.You'll partner directly with senior portfolio managers and investment leadership, gaining exposure to high-profile portfolios and influencing decision-making across a large and evolving platform. This is an ideal role for someone who enjoys blending deep quantitative analysis with strategic insight in a collaborative, front-office-facing environment.
Responsibilities:
- Lead in-depth risk analysis across portfolios, focusing on liquidity, market, and concentration exposures
- Translate complex quantitative outputs into clear, actionable insights for senior stakeholders and portfolio managers
- Identify emerging risks and macro trends, helping guide proactive investment decision-making
- Leverage advanced analytics, data visualization, and AI-driven tools to enhance risk monitoring and reporting capabilities
- Play a key role in the implementation and optimization of industry-leading risk systems, including model validation, analytics enhancement, and dashboard development
Qualifications:
- 7-10+ years of investment risk experience, ideally within asset management
- Strong understanding of portfolio risk frameworks, stress testing, and scenario analysis
- Familiarity with leading risk platforms such as Aladdin or MSCI Barra
- Solid technical experience with Python, Power BI, or similar tools for analytics and visualization
- Deep knowledge of short-term investment regulations (e.g., Rule 2a-7) and Liquidity is highly preferred
- Advanced degree in a quantitative field strongly preferred; CFA, FRM, or PRM is a plus
Job ID: 84830399
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