Investment Risk Analyst

Intellectual Capital HR Consulting Pvt. Ltd.

Jaipur

On-site

INR 1,500,000 - 2,300,000

Full time

3 days ago
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Job summary

Intellectual Capital HR Consulting Pvt. Ltd. seeks an Investment Risk Analyst to support risk monitoring and analysis across multiple asset classes.

The role involves dashboard development, performance and scenario analysis, and close collaboration with investment and risk teams to set prudent guardrails. The ideal candidate will have 3-7 years in risk analytics, strong quantitative abilities, and experience engaging with senior stakeholders.

Qualifications

  • 3-7 years of experience in Risk Analytics / Investment Risk / Market Risk.
  • Experience in risk analytics, quantitative skills, and interaction with investment teams.
  • Strong understanding of investment risk monitoring, portfolio risk analytics, scenario analysis, performance risk and market risk.
  • Experience working with investment teams, fund managers, or portfolio managers preferred.

Responsibilities

  • Identify and monitor risks across investment portfolios and asset classes.
  • Develop dashboards and risk monitoring frameworks.
  • Conduct investment risk analysis, scenario analysis, and performance risk assessment.
  • Work with CIOs, Fund Managers, and Risk teams to establish investment guardrails.
  • Monitor adherence to regulatory requirements, investment mandates, and internal risk policies.
  • Escalate key investment risk observations to senior management on a timely basis.
  • Provide risk-related inputs for Real Estate Investments, Private Equity Investments, Credit Investments.
  • Track changes in market conditions and investment strategies to update risk parameters and controls.
  • Prepare periodic investment risk reports and presentations for management review.
  • Coordinate with internal stakeholders and external system/data providers for risk analytics enhancement.

Skills

Investment risk monitoring
Portfolio risk analytics
Scenario analysis
Performance risk
Market risk
Stakeholder management
Analytical skills

Education

Engineering/Math/Stats/Finance background
MBA Finance / CFA preferred

Tools

Bloomberg
Python
Excel
PowerPoint

Job description

Position: Investment Risk Analyst
Location: Mumbai
Experience: 37 Years
Industry: Financial Services / Investments / Asset Management

Role Overview

We are looking for an Investment Risk Analyst to support the investment risk function through monitoring, measurement, and analysis of investment risks across multiple asset classes and portfolios. The role involves performance risk analysis, scenario analysis, dashboard development, and interaction with investment and risk teams to establish appropriate investment guardrails.

The ideal candidate should have experience in risk analytics, strong quantitative skills, and the ability to work closely with investment teams and senior stakeholders.

Key Responsibilities
  • Identify and monitor risks across investment portfolios and asset classes
  • Develop dashboards and risk monitoring frameworks
  • Conduct investment risk analysis, scenario analysis, and performance risk assessment
  • Work closely with CIOs, Fund Managers, and Risk teams to establish investment guardrails
  • Monitor adherence to regulatory requirements, investment mandates, and internal risk policies
  • Escalate key investment risk observations to senior management on a timely basis
  • Provide risk-related inputs for:
    • Real Estate Investments
    • Private Equity Investments
    • Credit Investments
  • Track changes in market conditions and investment strategies to update risk parameters and controls
  • Prepare periodic investment risk reports and presentations for management review
  • Coordinate with internal stakeholders and external system/data providers for risk analytics enhancement
Candidate Requirements
  • 3-7 years of experience in Risk Analytics / Investment Risk / Market Risk
  • Strong understanding of:
    • Investment Risk Monitoring
    • Portfolio Risk Analytics
    • Scenario Analysis
    • Performance Risk
    • Market Risk
  • Experience working with investment teams, fund managers, or portfolio managers preferred
  • Strong analytical and quantitative capabilities
  • Knowledge of investment products across equity, debt, private equity, credit, and real estate preferred
  • Strong communication and stakeholder management skills
  • High attention to detail and confidentiality standards
Technical Skills
  • Advanced MS Excel and PowerPoint skills
  • Working knowledge of Python preferred
  • Familiarity with Bloomberg systems and analytics tools preferred
Educational Qualification
  • Engineering / Mathematics / Statistics / Finance background preferred
  • MBA (Finance) / CFA preferred
Compensation

Compensation will be aligned with industry standards based on candidate experience, skill set, and current compensation.

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