Sr Manager, Multi-Asset Investment Risk

1 month ago


Baltimore, United States T. Rowe Price Full time

There is a place for you at T. Rowe Price to grow, contribute, learn, and make a difference.  We are a premier asset manager focused on delivering global investment management excellence and retirement services that investors can rely on today and in the future. The work we do matters. We invite you to explore the opportunity to join us and grow your career with us.

Role Summary

The Senior Multi-Asset Risk Manager position is an integral role within T. Rowe Price's independent Investment Risk team that is accountable for identifying, measuring, monitoring, communicating, and helping to mitigate (when warranted) risks impacting portfolios managed by the firm's Multi-Asset division, which has assets under management of $520B as of March 31, 2024. These portfolios include positions in equity, fixed income, and alternative assets implemented through both cash and derivative market instruments.

The Senior Multi-Asset Risk Manager role reports to the Director, Multi-Asset Risk, who leads the global Multi-Asset Risk function, and is expected to collaborate on a regular basis with other risk analysts and managers both within the Multi-Asset Risk team as well as more broadly across Investment Risk.

To be successful, the Senior Multi-Asset Risk Manager must:

* Be able to accurately evaluate risks under both normal and stressed market conditions through the use of both vendor and proprietary tools;


* Apply multi-factor risk models, stress testing/scenario analysis, and tail risk measures;


* Have strong programming skills to enable: expedient problem solving, the development of solutions that can be scaled across numerous portfolios, and the development of proprietary risk measurement approaches and mitigation strategies; and


* Be able to clearly summarize analyses and results for both quant and non-quant audiences, which may include investment committees, portfolio managers, solutions strategists, clients, and consultants.



The Senior Multi-Asset Risk Manager will have the opportunity to influence new risk dashboards and tools as well as provide commentary for investment teams and other key audiences in the management and distribution of multi-asset portfolios. This role will primarily focus on multi-asset portfolios managed in the APAC and EMEA regions and play an important part in the growth and oversight of this business.

PRINCIPAL RESPONSIBILITIES

* Day-to-day Risk Management Activities: Support the multi-asset risk program with the day-to-day identification, measurement, monitoring, and communication of risks in multi-asset portfolios. This includes the following activities: monitoring portfolios for changes in their risk profiles, performing portfolio stress tests based on both hypothetical and historical scenarios, analyzing the interaction between sub-portfolios that act as building blocks and the overall multi-asset class portfolio, preparing risk material for risk meetings and conducting follow-up analysis, and collaborating with investment staff in Multi-Asset on managing portfolio risk. Market monitoring will be needed to stay abreast of significant developments and to inform stress testing and scenario analysis. Programming skills will be needed to efficiently access, organize, analyze, and report on risk analysis results.
* Extension of Risk Modeling Methodologies & Tools: Prototype and develop risk modeling methodologies and tools to extend upon the core platform provided by MSCI for the identification and measurement of risks within and across investment portfolios. Activities will include tasks related to the development of methodologies and the specification of data needed for risk modeling as well as for inclusion in reports and dashboards. Development and testing will be coordinated with the Multi-Asset Risk team and will include collaboration with associates in Multi-Asset and Global Technology. Programming will be required to prototype calculation engines and provide proof of concept.
* Ad-hoc Quantitative Analysis: Perform ad-hoc quantitative analyses in response to unique requests. Contribute to the development of new products and investment solutions for clients by consulting with Multi-Asset's investment and research teams on the risk profile of proposed multi-asset portfolios.
* Communication of Risks: Communicate about market risk to audiences outside of Investment Risk, as appropriate. Prepare written and verbal commentary based on risk analysis results to portfolio managers, solutions strategists, and other members of the investment team. Deliver written responses and presentations to clients, prospects, consultants, as needed, to support various distribution channels.

QUALIFICATIONS

Required

* A passion for risk management and a demonstrated interest in financial markets through work experience and outside activities
* Bachelor's degree in a quantitative field such as quantitative finance, statistics, applied mathematics, operations research, engineering, or computer science
* A minimum of six years of relevant investment risk management or portfolio risk analytics experience
* A thorough understanding of multi-factor risk modeling in a multi-asset class setting (equity, fixed income, hedge funds, alts, derivatives) using fundamental, technical, and economic risk factors
* Knowledge of derivatives pricing and risk modeling
* Programming experience in Python, R, or MATLAB
* Strong quantitative and analytical skills
* Excellent communicator with the ability to explain complex ideas clearly and confidently to non-technical/non-quantitative audiences
* Strong interpersonal skills
* Ability to prioritize and handle dynamically changing work requirements in a fast-paced environment
* Results-driven mindset
* High standards of work quality and integrity
* Strong organizational skills
* Enjoy working as part of a team in a collaborative environment
* Intellectually curious with a commitment to continuous learning

Preferred

* Postgraduate degree in a quantitative field
* Completion or progress towards professional accreditations such as CFA, FRM, PRM, or CAIA
* Multi-Asset risk experience at a buy-side asset management firm
* A practical understanding of the use of derivatives in investment strategies
* Experience using MSCI's Barra One platform for multi-asset class risk modeling and stress testing
* Experience using MSCI's Risk Manager platform for VaR, stress testing and scenario analysis
* Experience developing dashboards in Power BI or similar data visualization package

FINRA Requirements

FINRA licenses are not required and will not be supported for this role.

Work Flexibility

This role is eligible for remote work up to two days a week.

Commitment to Diversity, Equity, and Inclusion:

We strive for equity, equality, and opportunity for all associates. When we embrace the power of diversity and create an environment where people can bring their authentic and best selves to work, our firm is stronger, and we create greater value for our clients. Our commitment and inclusive programming aim to lift the experience for each associate and builds allies for our global associate community. We know that a sense of belonging is key not only to your success at the firm, but also to your ability to bring your best each day.

Benefits: We invest in our people through a wide range of programs and benefits, including:

* Competitive pay and bonuses as well as a generous retirement plan and employee stock purchase plan with matching contributions
* Flexible and remote work opportunities
* Health care benefits (medical, dental, vision)
* Tuition assistance
* Wellness programs (fitness reimbursement, Employee Assistance Program)

Our policies may change as our working lives evolve. Yet, our commitment to supporting our associates' well-being and addressing the needs of our clients, business, and communities is unwavering.

T. Rowe Price is an equal opportunity employer and values diversity of thought, gender, and race. We believe our continued success depends upon the equal treatment of all associates and applicants for employment without discrimination on the basis of race, religion, creed, color, national origin, sex, gender, age, mental or physical disability, marital status, sexual orientation, gender identity or expression, citizenship status, military or veteran status, pregnancy, or any other classification protected by country, federal, state, or local law.



  • Baltimore, United States T. Rowe Price Full time

    Lead Multi-Asset Portfolio Investment Analyst – TRPIM page is loaded Lead Multi-Asset Portfolio Investment Analyst – TRPIM Apply locations Baltimore, MD time type Full time posted on Posted Yesterday job requisition id 70649 There is a place for you at T. Rowe Price to grow, contribute, learn, and make a difference. We are a premierassetmanagerfocused on...


  • Baltimore, United States T. Rowe Price Full time

    Lead Multi-Asset Portfolio Investment Analyst – TRPIM page is loaded Lead Multi-Asset Portfolio Investment Analyst – TRPIM Apply locations Baltimore, MD time type Full time posted on Posted Yesterday job requisition id 70649 There is a place for you at T. Rowe Price to grow, contribute, learn, and make a difference. We are a premierassetmanagerfocused on...


  • Baltimore, United States T. Rowe Price Full time

    Lead Multi-Asset Portfolio Investment Analyst TRPIM page is loaded Lead Multi-Asset Portfolio Investment Analyst TRPIM Apply locations Baltimore, MD time type Full time posted on Posted Yesterday job requisition id 70649 There is a place for you at T. Rowe Price to grow, contribute, learn, and make a difference. We are a ...


  • Baltimore, United States T. Rowe Price Full time

    There is a place for you at T. Rowe Price to grow, contribute, learn, and make a difference. We are a premier asset manager focused on delivering global investment management excellence and retirement services that investors can rely on today and in the future. The work we do matters. We invite you to explore the opportunity to join us and grow your career...


  • Baltimore, United States F1114 Franklin Templeton Companies, LLC Full time

    At Franklin Templeton, we’re driving our industry forward by developing new and innovative ways to help our clients achieve their investment goals. Our dynamic and diversified firm spans asset management, wealth management, and fintech, offering many ways to help investors make progress toward their goals. Our talented teams working around the globe bring...


  • Baltimore, Maryland, United States T Rowe Price Group, Inc Full time

    There is a place for you at T. Rowe Price to grow, contribute, learn, and make a difference. We are a premier asset manager focused on delivering global investment management excellence and retirement services that investors can rely on today and in the future. The work we do matters. We invite you to explore the opportunity to join us and grow your career...


  • Baltimore, United States T Rowe Price Group, Inc Full time

    There is a place for you at T. Rowe Price to grow, contribute, learn, and make a difference. We are a premier asset manager focused on delivering global investment management excellence and retirement services that investors can rely on today and in the future. The work we do matters. We invite you to explore the opportunity to join us and grow your career...


  • Baltimore, United States T. Rowe Price Full time

    Multi-Asset Senior Portfolio Investment Analyst - TRPIM page is loaded Multi-Asset Senior Portfolio Investment Analyst - TRPIM Apply locations Baltimore, MD time type Full time posted on Posted 2 Days Ago job requisition id 69524 There is a place for you at T. Rowe Price to grow, contribute, learn, and make a difference. We are a premierassetmanagerfocused...


  • Baltimore, United States T. Rowe Price Full time

    Multi-Asset Senior Portfolio Investment Analyst - TRPIM page is loaded Multi-Asset Senior Portfolio Investment Analyst - TRPIM Apply locations Baltimore, MD time type Full time posted on Posted 2 Days Ago job requisition id 69524 There is a place for you at T. Rowe Price to grow, contribute, learn, and make a difference. We are a premierassetmanagerfocused...


  • Baltimore, United States T. Rowe Price Full time

    Multi-Asset Senior Portfolio Investment Analyst - TRPIM page is loaded Multi-Asset Senior Portfolio Investment Analyst - TRPIM Apply locations Baltimore, MD time type Full time posted on Posted 2 Days Ago job requisition id 69524 There is a place for you at T. Rowe Price to grow, contribute, learn, and make a difference. We are a ...


  • Baltimore, United States PNC Financial Services Group Full time

    Job Profile Position Overview At PNC, our people are our greatest differentiator and competitive advantage in the markets we serve. We are all united in delivering the best experience for our customers. We work together each day to foster an inclusive workplace culture where all of our employees feel respected, valued and have an opportunity to contribute...


  • Baltimore, United States The PNC Financial Services Group, Inc Full time

    Position Overview At PNC, our people are our greatest differentiator and competitive advantage in the markets we serve. We are all united in delivering the best experience for our customers. We work together each day to foster an inclusive workplace culture where all of our employees feel respected, valued and have an opportunity to contribute to the...


  • Baltimore, United States Unison Risk Advisors Full time

    Working at RCM&D and SISCO is ideal for those seeking a challenging, rewarding and upwardly mobile career in risk management, insurance and employee benefits. Dedicated to fostering their continued success and growth, we are deeply invested in our employees. Job Summary: RCM&D is currently searching for a Healthcare Risk Management Consultant in our SISCO...


  • Baltimore, United States Unison Risk Advisors Full time

    Working at RCM&D and SISCO is ideal for those seeking a challenging, rewarding and upwardly mobile career in risk management, insurance and employee benefits. Dedicated to fostering their continued success and growth, we are deeply invested in our employees. Job Summary: RCM&D is currently searching for a Healthcare Risk Management Consultant in our SISCO...


  • Baltimore, United States Under Armour Full time

    The Sr. Manager, Global Risk Management and Capital Markets, along with one direct report, is responsible for all aspects of Under Armour's FX and interest rate risk management and Capital Markets activities. Specific responsibilities include managin Risk, Manager, Management, Capital Markets, Global, Accounting


  • Baltimore, Maryland, United States PNC Full time

    Position Overview At PNC, our people are our greatest differentiator and competitive advantage in the markets we serve. We are all united in delivering the best experience for our customers. We work together each day to foster an inclusive workplace culture where all of our employees feel respected, valued and have an opportunity to contribute to the...

  • Investment Analyst

    4 weeks ago


    Baltimore, United States Johns Hopkins University Full time

    **OVERVIEW** Johns Hopkins University was founded in 1876 and is one of the world's premier teaching and research institutions with nearly 22,000 students across nine academic divisions. The university attracts the finest undergraduate, graduate, doctoral, post-doctoral and professional degree students and more federal research and development funding than...

  • HUD Asset Manager

    1 month ago


    Baltimore, United States CFG Bank Full time

    COMPANY SUMMARY: CFG Bank, based in Baltimore, Maryland, is a leading financial institution serving the national healthcare and multifamily markets and the Mid-Atlantic region. As the 6th largest bank in Baltimore by deposits and the largest locally based, we've grown from $1 billion to over $5 billion in assets by 2023. With over 30 years of expertise, we...

  • HUD Asset Manager

    4 weeks ago


    Baltimore, United States CFG Bank Full time

    COMPANY SUMMARY: CFG Bank, based in Baltimore, Maryland, is a leading financial institution serving the national healthcare and multifamily markets and the Mid-Atlantic region. As the 6th largest bank in Baltimore by deposits and the largest locally based, we've grown from $1 billion to over $5 billion in assets by 2023. With over 30 years of expertise, we...

  • HUD Asset Manager

    7 days ago


    Baltimore, United States CFG BANK Full time

    COMPANY SUMMARY: CFG Bank, based in Baltimore, Maryland, is a leading financial institution serving the national healthcare and multifamily markets and the Mid-Atlantic region. As the 6th largest bank in Baltimore by deposits and the largest locally based, we've grown from $1 billion to over $5 billion in assets by 2023. With over 30 years of expertise, we...