A Multi Strategy Hedge Fund in the NYC Area is hiring a Senior Risk Manager to cover their Commodities PMs.
The fund has 10+ years of track record in strategies across Equities, Credit, Macro, Quant, and more; over the past few years, they've onboarded successful Commodities PMs and are continuing to grow both the Discretionary & Systematic businesses.
This Senior Risk Manager must be comfortable around the PMs and able to build front office relationships, monitor macro risks in commodity markets, advise on portfolio construction, and design/implement hedge strategies.
In order to assist across the business, this individual should have experience trading/risk managing physical commodities (Energy and/or Softs/Ags) as well as exposure to Systematic Managed Futures strategies on the financial side.
Requirements:
- 10+ years of experience in commodity trading/risk management
- Knowledge in several markets including: US/EU Power, US/EU Nat Gas, Crude Oil, Refined Products, Softs/Ags, Base or Precious Metals, Commodity Index Options, Managed Futures strategies
- Ability to build front office relationships and challenge PMs effectively
- Proficiency in Python/SQL strongly preferred
- Excellent communication