Chief Risk Officer – Investment Management

The fund has grown progressively since it's inception and has successfully managed risk within the tight investment process that is already in place. Now, however, the firm is at a size that requires a dedicated risk manager to oversee the complete risk picture through effective relationships with the portfolio managers, strategists and exec team as well as the detailed gathering, monitoring and analysis of data.

Ideally, this role would suit a candidate with a strong investment background as a portfolio manager or quantitative researcher/strategist who has a strong interest in risk management of cross asset, multi strategy portfolios. The right candidate will be involved in writing white papers/publications as part of their current role and should also be comfortable in client facing settings.

It is essential that the candidate has a high level quantitative education (PhD level preferred) and a background including sophisticated portfolio management techniques, portfolio analysis/construction, research and strategy on the buy side. Cross-asset experience is preferred with alternatives experience as a plus. You should also bring people management skills and the ability to debate various ideas without creating politics and be a thought leader in your field.

If you are interested and would like to know more, please send your resume to Ruth Steel at Huxley Associates, Boston.

To find out more about Huxley Associates please visit www.huxley.com

June 4, 2013 • Tags:  • Posted in: Financial

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