Risk Analyst
3 weeks ago
A Multi Strategy Hedge Fund is hiring a Risk Analyst to cover the Volatility business in NYC.
This is a specialized role, working exclusively to cover multiple volatility strategies (Vol Arbitrage, Macro Vol, Rates + FX Vol, Options Market Making, Dispersion, etc.) and contributing to a culture that enhances smart risk-taking across the business.
Broad experience with multi-asset derivatives is a must, and specialization in Volatility Derivatives or Exotic Equity/Rates derivatives will be a huge plus.
For any candidate looking to join a top performing fund and leverage their derivatives and volatility knowledge, this is a great opportunity. This hire will work closely with senior risk managers as well as the business, so strong communication is essential.
Qualifications:
- 4+ years of experience in market risk management/derivative pricing
- Familiarity with volatility modelling + vol surface construction across products and asset classes
- Proficiency in Python + SQL; experience with Java preferred
- Specialization in Vol Derivatives, Equity/Rates Exotics pricing, Macro Vol strategies, Vol Arbitrage, and Dispersion strongly preferred
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