Risk/ Technicals Manager
Requirements:
Minimum of 6 years’ experience in Buy Side risk management (Hedge Fund, Asset Manager) - candidates with risk management experience from investment banks will also be considered
• MSc in quantitative subject. Outstanding academics overall.
• Understanding of risk dynamics within cash and derivative products
• Understanding of fund structures in different regulatory jurisdictions (UCITS, SICAV, etc.)
• Experience in enterprise-level risk management systems development - familiarity with the Imagine risk and trading platform would be a plus • Experience in complex trading and investment environments
• Communicating effectively with portfolio managers, investors, directors, senior management personnel, IT staff and managers, credit providers, regulators, etc.
• Outstanding quantitative and analytical skills and strong technological understanding with the ability to build/develop risk systems/tools. This includes a minimum VBA and macro Excel familiarity.
• Excellent team player
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