Experienced Risk Manager

Added
4 days ago
Type
Full time
Salary
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Related skills

data analysis analytics sql python delta one
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πŸ“‹ Description

  • Partner with traders to identify, monitor, and manage risk across trading strategies
  • Monitor market, credit, capital, and operational risks across portfolios
  • Develop risk methodologies for equities, ETFs, futures and other instruments
  • Analyze concentration risk and portfolio-level exposures for better decisions
  • Build quantitative risk tools, reporting, and monitoring using Python
  • Collaborate with software engineers to automate risk workflows

🎯 Requirements

  • 5+ years in financial risk management or front-office risk
  • Experience with equities, ETFs, futures, or linear products
  • Familiarity with Delta One trading strategies
  • Proficiency in Python for data analysis and risk analytics
  • Working knowledge of SQL
  • Ability to communicate quantitative concepts to traders and engineers

🎁 Benefits

  • Discretionary bonus and comprehensive benefits
  • Paid leave and health insurance
  • Collaborative, high-performance culture
  • Opportunity to influence risk framework and technology
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