Front-Office Emerging Markets Risk Partner

Paragon Alpha - Hedge Fund Talent Business

City Of London

On-site

GBP 120,000 - 180,000

Full time

14 days+
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Job summary

Paragon Alpha is seeking an Emerging Markets Risk Manager to join its London-based Investment Risk team, partnering directly with Portfolio Managers across its expanding EM business to challenge risk positions and support capital allocation.

This front-office role requires strong knowledge of EM products (Rates, FX, Sovereign & Corporate Credit), expertise in VaR, stress testing and scenario analysis, and the ability to translate complex risk into actionable insights.

Qualifications

  • Experience in Investment Risk or Front Office Risk in EM portfolios.
  • Experience at a multi-strategy hedge fund.
  • Strong knowledge of EM products (Rates, FX, Sovereign & Corporate Credit).
  • Experience partnering with Portfolio Managers and challenging investment decisions.
  • Strong understanding of VaR, stress testing, scenario analysis and liquidity risk.
  • Excellent grasp of macroeconomic and geopolitical risks impacting EM.
  • Strong analytical and quantitative skills.
  • Programming experience (Python, SQL) advantageous.

Responsibilities

  • Partner with EM Portfolio Managers on portfolio construction and risk.
  • Challenge positioning, concentration, liquidity, leverage and risk-taking decisions.
  • Monitor EM exposures across Rates, FX, Sovereign & Corporate Credit and Macro strategies.
  • Perform VaR, stress testing, scenario analysis and P&L attribution.
  • Analyse market, country, macro and geopolitical risks.
  • Develop risk frameworks and analytics with Quantitative Research and Technology teams.
  • Present risk views and emerging themes to senior investment professionals.

Skills

Portfolio risk
VaR & stress testing
Scenario analysis
P&L attribution
Macroeconomic risk

Tools

Python
SQL

Job description

Paragon Alpha is seeking an Emerging Markets Risk Manager to join its London-based Investment Risk team, partnering directly with Portfolio Managers across its expanding EM business to challenge risk positions and support capital allocation.

This front-office role requires strong knowledge of EM products (Rates, FX, Sovereign & Corporate Credit), expertise in VaR, stress testing and scenario analysis, and the ability to translate complex risk into actionable insights.

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