Arthur Financial have partnered with a highly regarded global alternative investment manager to support their growth plans. The client is looking to higher a Risk Officer to work with the CRO based in their London office.
The wider Risk Management team is responsible for managing market risk, counterparty risk and liquidity risk. You will work closely with traders across discretionary and systematic trading of macro and relative value strategies in fixed income, foreign exchange, credit and digital asset markets.
Some key responsibilities of this role will be management of fixed income and foreign exchange macro and relative value trading across market risk, counterparty risk, liquidity risk.
You will be responsible for enhancing risk measurement analytics and controls. The role is hands on and will involve a large amount of time liaising with Portfolio Managers discussing portfolio and market risks and solutions to manage and optimise risks within the firm’s risk framework
Its is expected that you will have at least 5+ years working within a market risk function in a bank or hedge fund, with expertise across Fixed Income and Options Trading.