Risk Manager

H-Squared

New York (NY)

On-site

USD 150,000 - 230,000

Full time

14 days+

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Benefits offered by this job

Collaborative team environment
Exposure to senior leadership
Career development opportunities

Job summary

H-Squared seeks a Risk Manager to join the firm's Central Risk team in New York. You will provide independent risk oversight across the platform, working with senior management, portfolio managers, and strategy risk teams to assess macro events and firm-wide exposures.

You will help develop and enhance the enterprise risk framework, deliver risk reporting, and collaborate with investment and business units to strengthen oversight.

Qualifications

  • 5+ years of experience in market or portfolio risk within a buy-side environment.
  • Strong quantitative and analytical skills, with the ability to assess complex risk scenarios.
  • Ability to communicate risk insights effectively to senior stakeholders.
  • A strategic mindset with the ability to balance big-picture thinking alongside technical analysis.

Responsibilities

  • Support the development and enhancement of the firm's enterprise risk management framework.
  • Partner with senior stakeholders to identify, assess, and monitor key risks across the business.
  • Deliver risk reporting and analysis to support strategic decision-making.
  • Evaluate emerging risks through scenario analysis and provide actionable recommendations.
  • Collaborate with investment, risk, and business teams to strengthen risk oversight across the platform.

Skills

Quantitative analytics
Risk assessment
Communication
Strategic thinking

Job description

We are partnered with a leading global hedge fund seeking a Risk Manager to join the firm's Central Risk team in New York.


Here, you will play a key role in supporting the firm wide risk function, working closely with senior management, portfolio managers, and strategy specific risk teams to provide independent risk oversight across the platform. The role offers exposure to a broad range of strategic risk topics, helping to assess the impact of macroeconomic, geopolitical, and firm-wide events.


Key Responsibilities:


  • Support the development and enhancement of the firm's enterprise risk management framework.

  • Partner with senior stakeholders to identify, assess, and monitor key risks across the business.

  • Deliver risk reporting and analysis to support strategic decision-making.

  • Evaluate emerging risks through scenario analysis and provide actionable recommendations.

  • Collaborate with investment, risk, and business teams to strengthen risk oversight across the platform.


Qualifications:


  • 5+ years of experience in market or portfolio risk within a buy-side environment.

  • Strong quantitative and analytical skills, with the ability to assess complex risk scenarios.

  • Ability to communicate risk insights effectively to senior stakeholders.

  • A strategic mindset with the ability to balance big-picture thinking alongside technical analysis.


What They Offer:


  • A collaborative and high performing team environment.

  • The opportunity to work closely with senior leadership on firm wide strategic risk initiatives.

  • Exposure to a broad range of risk topics across the business.

  • Competitive compensation and strong long-term career development opportunities.

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