Senior Prime Brokerage Risk Manager – Equity Eligible

Clear Street

Greater London

Hybrid

GBP 90,000 - 140,000

Full time

14 days+
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Benefits offered by this job

Equity
Pension
Medical insurance
Dental insurance
Parental leave
Office three days per week

Job summary

Clear Street is expanding its UK team to manage risk across prime brokerage business for equities, options, and fixed income. The PB Risk Manager will help create, evolve, and execute risk frameworks while expanding both quantitative and client-facing skills across global markets.

The role covers intraday and end-of-day risk, margin calculations, and stress testing; collaboration with technology and product teams will be essential to enhance risk platforms and reporting capabilities.

Qualifications

  • Bachelor's degree required in finance/economics/math/FE.
  • Master's degree preferred for advanced roles.
  • Strong knowledge of equity and fixed income products and risk measures.
  • Regulatory frameworks and capital/margin rules familiarity.

Responsibilities

  • Serve as primary client contact on onboarding, risk reviews, and risk topics.
  • Monitor intraday and end-of-day risk exposures and margin requirements.
  • Track markets in OMS and risk systems; escalate material issues to senior mgmt.
  • Develop and maintain margin, risk, and stress-testing methodologies.
  • Generate and automate ad-hoc risk reports highlighting exposures.
  • Communicate critical risk observations to risk management and clients.
  • Support development of risk and margin platforms and enhancements.
  • Collaborate with tech and product teams to improve risk infrastructure.

Skills

Python
SQL
Risk analytics
Client engagement
Attention to detail

Education

Bachelor's degree in Finance, Economics, Mathematics, or Financial Engineering
Master's degree preferred

Tools

Bloomberg
ICE
FactSet

Job description

Clear Street is expanding its UK team to manage risk across prime brokerage business for equities, options, and fixed income. The PB Risk Manager will help create, evolve, and execute risk frameworks while expanding both quantitative and client-facing skills across global markets.

The role covers intraday and end-of-day risk, margin calculations, and stress testing; collaboration with technology and product teams will be essential to enhance risk platforms and reporting capabilities.

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