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Senior Associate / Associate, Portfolio Risk, GCC Pension Fund (Role Based in GCC)

JR United Kingdom

Telford

On-site

GBP 50,000 - 80,000

Full time

3 days ago
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Job summary

A leading company in the finance sector is seeking a Senior Associate / Associate in Portfolio Risk to join their team in Telford. The ideal candidate will have extensive experience in investment risk and demonstrate strong analytical skills necessary for monitoring and managing risks across diverse asset classes. This role focuses on aligning investments with long-term goals and compliance with regulatory requirements, providing a significant opportunity for professional growth in a dynamic environment.

Qualifications

  • 5–10 years experience in investment risk or financial risk management.
  • Strong analytical and quantitative skills.
  • Proficient in risk management platforms.

Responsibilities

  • Monitor portfolio exposures and market risks.
  • Perform quantitative risk analysis.
  • Support risk framework implementation.

Skills

Analytical abilities
Quantitative analysis
Programming
Data analysis

Education

Bachelor's or Master's degree in Finance
Actuarial Science
Mathematics
Statistics
Risk Management
Economics

Tools

Bloomberg PORT
RiskMetrics
Barra

Job description

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Senior Associate / Associate, Portfolio Risk, GCC Pension Fund (Role Based in GCC), Telford

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Client:
Location:

Telford, United Kingdom

Job Category:

Other

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EU work permit required:

Yes

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Job Views:

3

Posted:

06.06.2025

Expiry Date:

21.07.2025

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Job Description:

Background:

Our client, a prominent GCC-based Pension Fund, is seeking an experienced investment professional to join their Portfolio Risk team. As a Senior Associate / Associate, you will assess and monitor investment risks across a diversified portfolio. The role plays a vital part in aligning investments with the fund’s long-term goals and regulatory requirements.

Key Responsibilities:

  • Monitor portfolio exposures and assess market, credit, and liquidity risks across asset classes.
  • Perform quantitative risk analysis using VaR, stress testing, and scenario analysis.
  • Develop and maintain risk dashboards, alerts, and reports for leadership and committees.
  • Support implementation and refinement of risk frameworks, policies, and controls.
  • Ensure compliance with risk limits, governance, and regulations.
  • Collaborate with teams to evaluate risk-return profiles of investment strategies.
  • Analyse portfolio sensitivity to economic, interest rate, currency, and geopolitical factors.
  • Contribute to model development, back testing, and validation.
  • Communicate key risk insights to stakeholders.

Qualifications & Experience:

  • 5–10 years experience in investment risk, portfolio analytics, or financial risk management— preferably within pension funds, sovereign wealth funds, or asset managers.
  • Strong analytical and quantitative abilities with proficiency in risk platforms such as Bloomberg PORT, RiskMetrics, or Barra.
  • Solid programming and data analysis capabilities (e.g., Python, R, Excel VBA, SQL).
  • Familiarity with asset allocation models, risk-adjusted performance metrics, and portfolio construction principles.
  • Understanding of Islamic finance is a plus, particularly for Sukuk and Sharia-compliant investment structures.
  • Knowledge of regional and international pension fund regulatory frameworks, including capital adequacy requirements.
  • Bachelor's or Master's degree in Finance, Economics, Risk Management, Actuarial Science, or a quantitative discipline such as Mathematics, Statistics, or Engineering.
  • Professional certifications preferred: FRM, CFA, or PRM (or currently pursuing one).
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