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Hedge Fund Risk Analyst

JR United Kingdom

Doncaster

On-site

GBP 40,000 - 70,000

Full time

4 days ago
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Job summary

A leading hedge fund in London is seeking a Risk Analyst to join its Risk team. The successful candidate will monitor market risks, prepare reports, and ensure compliance with risk management practices. Ideal for those with a degree in Finance or similar, and 2-4 years’ experience in market risk.

Qualifications

  • 2-4 years market risk experience working for an investment bank or hedge fund.
  • Macro and EM Product Knowledge required.
  • Knowledge of Pricing and VaR modeling is essential.

Responsibilities

  • Monitor and assess market risks to ensure positions are within risk tolerance limits.
  • Prepare risk reports and conduct stress tests to identify vulnerabilities.
  • Collaborate with portfolio managers to align strategies with risk appetite.

Skills

Python
SQL
Communication

Education

Degree in Finance, Economics, Physics, Mathematics, or related field

Job description

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Our client is a leading hedge fund based in London. They are currently seeking a Risk Analyst to join their Risk team and contribute to the success and growth of the firm.

Key Responsibilities:

· Continuously monitor and assess market risks, including market volatility, liquidity, interest rates, and foreign exchange fluctuations, to ensure positions are within risk tolerance limits.

· Collaborate with portfolio managers and traders to evaluate potential risk factors associated with hedge fund investments, ensuring strategies align with the fund’s risk appetite and objectives.

· Prepare regular risk reports, providing insights on portfolio exposures, value-at-risk (VaR), stress testing, and risk-adjusted performance metrics for senior management and stakeholders.

· Conduct stress tests and scenario analyses to identify vulnerabilities under different market conditions, offering actionable recommendations to mitigate identified risks.

· Ensure that risk management practices comply with relevant regulations, internal policies, and best practices, assisting in regulatory reporting and audits when necessary.

Requirements:

· Degree in Finance, Economics, Physics, Mathematics, or a related field.

· 2-4 years market risk experience working for an investment bank or hedge fund.

· Macro and EM Product Knowledge.

· Modelling Knowledge (Pricing, VaR)

· Python and/or SQL skills.

· Ability to communicate complex market risk issues clearly and effectively to diverse stakeholders.

If you believe you have the skills and experience to excel in this role and contribute to the firm’s continued success, we encourage you to apply.

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