About the role

$1bn+ Discretionary global macro investment manager based in New York. Trades liquid instruments across rates, FX, equities, credit and commodities, using both cash and derivative instruments. Hiring a Risk Analytics professional to run the firm's risk and P&L reporting. You will work directly with the portfolio management team. The role suits a technically strong candidate who wants broad exposure to a multiasset macro portfolio and ownership of the analytics that support investment decisions. Produce daily, weekly and ad hoc P&L and risk reports across several multi-asset portfolios Monitor portfolio risk metrics, such as: – Performance statistical analysis – Sensitivities and Greeks – Concentrations, correlations, maturities, etc. Design and run Monte Carlo simulations, historical and hypothetical stress tests, and shock scenario analyses.

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JOB OVERVIEW

Experience level

Senior

Location

New York, NY

Occupation

Financial Risk Specialists

Industry

Portfolio Management and Investment Advice

Posted

2 days ago

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