Risk Manager, Risk & Quant Analytics

Polymer Capital

Hong Kong

On-site

HKD 1,200,000 - 1,600,000

Full time

14 days+
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Benefits offered by this job

Paid Annual Leave
Medical Group Insurance
In-built Gym facility
Professional Learning & Development Opportunities

Job summary

Polymer Capital in Hong Kong is seeking a Risk Manager to oversee investment teams through bi-weekly risk reviews. The ideal candidate will have over 5 years of experience in risk management and a strong understanding of hedge fund strategies.

You will provide analytical insights to support disciplined risk-taking and collaborate closely with Portfolio Managers. This is a unique opportunity to work in a dynamic, high-growth environment with a commitment to diversity and continuous improvement.

The role offers great benefits including paid annual leave and medical insurance.

Qualifications

  • 5+ years in risk management or related field on the buy-side.
  • Strong understanding of hedge fund strategies.
  • Experience with portfolio risk analytics concepts.

Responsibilities

  • Conduct bi-weekly portfolio risk reviews.
  • Monitor exposures and performance for assigned PMs.
  • Develop quantitative risk analytics and reporting tools.

Skills

Risk management experience
Portfolio analytics
Hedge fund strategies
Quantitative skills
Programming in Python
Communication skills

Tools

Excel
Data analysis tools

Job description

About Polymer

Polymer Capital Management is a market‑neutral, multi‑manager investment platform focused on Asia. Our goal is to discover and nurture the region's top investment talent by combining established institutional support with extensive local financial market knowledge. We were founded in partnership with PAG, one of the world's largest Asia‑focused alternative asset managers, and we have been operational since 2019.

Role Summary

This role sits within the risk management team and focuses on direct portfolio coverage of investment teams. The Risk Manager will work closely with Portfolio Managers through bi‑weekly risk reviews and ongoing dialogue, providing oversight and analytical insights to support disciplined risk‑taking and capital deployment across the platform.

Responsibilities
  • Serve as risk manager for assigned Portfolio Managers, conducting bi‑weekly portfolio risk reviews and ongoing discussions on positioning, performance, and risk exposures
  • Provide risk oversight of PM portfolios, including monitoring exposures, drawdowns, concentration, liquidity, and factor risks
  • Perform daily monitoring of portfolio risk metrics and P&L drivers, identifying emerging risks and communicating actionable insights to PMs and senior risk leadership
  • Prepare and deliver structured risk review materials for bi‑weekly PM meetings, covering performance attribution, exposure changes, stress testing, and portfolio positioning
  • Challenge portfolio construction and risk‑taking where appropriate, ensuring alignment with the firm's risk framework and capital allocation guidelines
  • Conduct ad‑hoc portfolio analysis to evaluate trade ideas, new strategies, or significant changes in positioning
  • Develop and enhance quantitative risk analytics and reporting tools, including factor exposure analysis, scenario testing, and portfolio diagnostics
  • Ensure ongoing compliance with risk limits and investment guidelines, escalating breaches and working with PMs to resolve issues efficiently
  • Partner closely with Trading, Compliance, Technology, and Middle Office teams to address operational or risk issues affecting portfolio management
  • Contribute to the continuous improvement of the firm's risk framework, methodologies, and reporting processes
Requirements
  • 5+ years of experience in risk management, portfolio analytics, or a related role on the buy‑side, preferably within a multi‑manager or pod‑style hedge fund platform
  • Strong understanding of hedge fund strategies including long/short equities, macro, or multi‑asset portfolios, with experience analyzing portfolio exposures and P&L drivers
  • Experience engaging directly with Portfolio Managers in risk discussions, including reviewing positioning, exposures, and performance attribution
  • Solid knowledge of portfolio risk analytics, including factor models, scenario analysis, stress testing, and portfolio construction concepts
  • Strong quantitative and analytical skills, with the ability to translate complex analytics into clear and actionable insights
  • Programming proficiency in Python and strong Excel skills; experience with data analysis and visualization tools is highly desirable
  • Excellent communication and interpersonal skills, with the ability to effectively challenge and influence investment professionals
  • Strong attention to detail and ability to operate in a fast‑paced trading environment
  • Demonstrated commitment to maintaining strong risk discipline and compliance standards
Why join us
  • Prime Location: You'll work full time from our centrally located office space in the heart of Hong Kong
  • High‑Growth: We have a team of highly ambitious professionals with a strong desire to learn and develop their skills
  • Equal opportunity employer: We celebrate diversity and are committed to creating an inclusive environment for all employees
  • Global exposure: With six offices and three affiliate offices around the region, Polymer teams work together to solve meaningful problems at scale
  • Dynamic and Collaborative Environment: Opportunity to work with industry leaders and experts to engage in exciting projects and fulfilling challenges
Some of Our Benefits
  • Paid Annual Leave
  • Medical Group Insurance
  • In‑built Gym facility
  • DEI and Philanthropy Initiatives
  • Professional Learning & Development Opportunities
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