Market Risk Manager

2 weeks ago


New York, United States Goodman Masson Full time

A Global, multi-strat Hedge Fund is hiring a new Equity Volatility Risk Manager as part of their efforts to build a world call risk management platform.

 

Within this role you will provide key analysis and risk analytics to the Risk team, Investments and Trading Desks.

 

The ideal candidate for this role will have exceptional knowledge across Equity Volatility products and be an expert across pricing, Greeks and VaR principles.

 

The key responsibilities for this candidate will include:

Identifying, evaluating and managing risk across multiple desks but with a strong focus on Equity Volatility
Developing the risk modelling, analytics and pricing suite in Python
Developing innovative performance analytics to enable effective tracking of performance
Developing and monitoring the risk limit framework for each trading desk
Proactively exploring and developing new tools and approaches to understand and effectively manage risk exposure

 

To be considered for this role you will hold a minimum of 5 years experience within a Market Risk, Investment Risk or Portfolio Risk role. A considerable portion of this experience will have been spent supporting an Equity Volatility trading desk. Python is essential.

 

This fund is happy to review CVs of candidates currently working within a top tier Investment Bank or a competitor fund.

 

If you are seeking a new challenge, please send your CV to Elizabeth.mcgill@goodmanmasson.com


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