FI Senior Risk Manager - Bond Relative Value (London)
Are you a seasoned expert in Fixed Income RV strategies, looking to make your mark on the financial markets? We are searching for an exceptional FI Senior Risk Manager who thrives in innovative and dynamic environments. Join our clients team and play a pivotal role shaping investment strategies at the forefront of risk management.
Role Overview:
- You will lead risk oversight and strategic enhancements within Fixed Income Relative Value portfolios.
- Collaborate with quant teams to pioneer advanced risk management systems.
- Proactively conduct comprehensive risk analysis aligned with company goals.
- Engage effectively with senior leadership, providing insights that influence critical decisions.
- Guarantee compliance with relevant regulatory standards while aligning practices to internal policies.
Qualifications & Experience Required:
Experience:
\- 8-15 years' professional experience focusing primarily on Fixed Income RV strategies
\- A successful track record of portfolio revamps underpinned by robust knowledge of FI RV market dynamics
Technical Skills:
\- Proficient system skills are vital as they enable collaboration using quantitative-driven tools
Advanced analytical prowess necessary for high-level strategy development
Preferred Backgrounds Include:
Buy-side roles such as hedge funds or asset managers
Soft Skills Essential For Success In This Role:
Demonstrated ambition coupled with growth mindset essential for thriving within our culture
Excellent communication abilities tailored towards effective stakeholder engagement
If this exciting opportunity speaks to your career aspirations and expertise, we invite you further into discussions about how together; we can redefine industry benchmarks through innovation.
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FI Senior Risk Manager - Bond RV
- Location London
- Job type Permanent
- Salary Negotiable
- Discipline Risk Management
- Reference PR/530693_1738070704