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Senior Investment Risk Manager

Selby Jennings Manhattan, United States
Posted 18 days ago Hybrid Job Permanent USD175000 - USD200000 per year

Senior Investment Risk Manager

Selby Jennings Manhattan, United States
A top-tier global asset manager is looking to bring on a Sr. Investment Risk Manager at a pivotal time of growth and transformation across its investment risk platform. Sitting within a highly visible risk function, you'll play a critical role in shaping how short-duration and liquidity-focused strategies are analyzed, monitored, and optimized.

A top-tier global asset manager is looking to bring on a Sr. Investment Risk Manager at a pivotal time of growth and transformation across its investment risk platform. Sitting within a highly visible risk function, you'll play a critical role in shaping how short-duration and liquidity-focused strategies are analyzed, monitored, and optimized.

You'll partner directly with senior portfolio managers and investment leadership, gaining exposure to high-profile portfolios and influencing decision-making across a large and evolving platform. This is an ideal role for someone who enjoys blending deep quantitative analysis with strategic insight in a collaborative, front-office-facing environment.

Responsibilities:

  • Lead in-depth risk analysis across portfolios, focusing on liquidity, market, and concentration exposures
  • Translate complex quantitative outputs into clear, actionable insights for senior stakeholders and portfolio managers
  • Identify emerging risks and macro trends, helping guide proactive investment decision-making
  • Leverage advanced analytics, data visualization, and AI-driven tools to enhance risk monitoring and reporting capabilities
  • Play a key role in the implementation and optimization of industry-leading risk systems, including model validation, analytics enhancement, and dashboard development

Qualifications:

  • 7-10+ years of investment risk experience, ideally within asset management
  • Strong understanding of portfolio risk frameworks, stress testing, and scenario analysis
  • Familiarity with leading risk platforms such as Aladdin or MSCI Barra
  • Solid technical experience with Python, Power BI, or similar tools for analytics and visualization
  • Deep knowledge of short-term investment regulations (e.g., Rule 2a-7) and Liquidity is highly preferred
  • Advanced degree in a quantitative field strongly preferred; CFA, FRM, or PRM is a plus
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Job ID  PR/597655
ABOUT COMPANY
New York, United States
1000 Employees HR & Recruitment
We support the Financial Sciences & Services industry with talent that can truly shape the future of a business. Whether that be Quantitative Analyti...
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