We are seeking a Risk Manager to join our Global Risk Management team. As a Risk Manager, you will be responsible for evaluating new trading strategies, markets, and products, and working with Core Development and Technology teams to advance the firm's internal risk layer, metrics, and reporting.
Requirements
- At least 4 years in a risk or trading role at a proprietary trading firm, multi-strategy hedge fund, asset manager, or investment bank.
- Hands-on experience in at least one major liquid asset class (e.g., Equities, Futures, FX, Rates, or Options) with a strong desire to expand cross-asset coverage.
- Bachelor’s degree with a strong academic record; CFA/FRM or similar credentials are a plus.
- Operational risk fluency across the trade lifecycle, market access controls, exchange connectivity; familiarity with prime brokerage/clearing and margin/financing is helpful.
- Comfortable consuming outputs from risk models and measures (e.g., VaR, beta, factor exposures, stress scenarios) to interpret and communicate risk; not a model builder.
- Technical skills: Python, SQL, and advanced Excel for querying, validation, ad hoc analysis, and light automation; Bloomberg or similar tools are a plus.
- Communication and composure: crisp, credible at the desk, effective with traders and technologists, and calm under pressure.
Benefits
- Discretionary bonus eligibility
- Medical, dental, and vision insurance
- HSA, FSA, and Dependent Care options
- Employer Paid Group Term Life and AD&D Insurance
- Voluntary Life & AD&D insurance
- Paid vacation plus paid holidays
- Retirement plan with employer match
- Paid parental leave
- Wellness Programs