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Une entreprise de finance de renom recherche un analyste en risque d'investissement pour renforcer son équipe. Ce rôle privilégié impliquera de soutenir le responsable du risque d'investissement tout en améliorant les frameworks de risque relatifs à l'allocation d'actifs et au modèle ALM. Le candidat idéal possède une solide expérience en modélisation, notamment en Python, et une connaissance des instruments financiers, l'expertise en actions étant un atout.
The role will support the head of Investment risk and cover the following:
- Review and challenge of ALM modelling processes and how their outputs are used to aid decision making.
- Contribute to the development and enhancement of risk frameworks across multiple risk types including market, credit, counterparty and liquidity risks
- Review and challenge of strategic asset allocation process
The successful candidate will have the below experience:
- Knowledge of Strategic allocation within a fund on both asset only and asset-liability basis
- Knowledge of modelling and development ideally in python
- Experience financial instruments and the asset classes
- Knowledge of Equities is preferred