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Balyasny Asset Management L.P. is seeking a Senior Risk Manager to support its global Systematic Trading business. This role involves conducting risk analyses, building methodologies for risk managing portfolios, and maintaining relationships with portfolio managers globally.
The ideal candidate will have an advanced degree in a quantitative field and over 10 years of relevant experience in finance. Strong programming skills in Python or C++/C# are essential. This position is based in New York, offering innovative benefits and a collaborative culture.
Balyasny Asset Management L.P. (BAM) is a global institutional investment firm. We strive to deliver consistent, uncorrelated, absolute returns in all market environments by fostering a culture of research, innovation, and collaboration.
BAM exists at the intersection of finance and technology, combining the deep industry knowledge of leading portfolio managers and financial analysts with software engineers and quantitative researchers. We leverage the collective expertise of our teams to seek out new investment opportunities, analyze market conditions, minimize risk, and provide superior service to our investment partners.
With 1900+ people in 20 offices around the world, we embrace a culture that welcomes the free flow of ideas, promotes career development, and supports the health and wellbeing of our people through world-class benefits.
We are looking for a senior Risk Manager to support our growing global Systematic Trading business: