VP - Hedge Fund Credit Risk Analyst

HW3

New York (NY)

On-site

USD 180,000 - 280,000

Full time

14 days+
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Benefits offered by this job

Competitive base
Annual bonus potential
Comprehensive benefits package

Job summary

Une institution financière mondiale à New York recherche un Analyste de Crédit pour les Hedge Funds. Le candidat idéal aura plus de 3 ans d'expérience en risque de crédit et une bonne compréhension des dérivés OTC. Ce poste offre un salaire compétitif, un bonus annuel et un package d'avantages complet.

Qualifications

  • 3+ years of hedge fund counterparty credit risk or investment risk experience.
  • Strong understanding of OTC & listed derivatives and hedge fund strategies.
  • Experience reviewing ISDAs and financing agreements.
  • A degree in Finance or a related field (Master’s a plus).

Responsibilities

  • Conduct comprehensive due diligence and credit assessments on hedge fund and FoHF clients.
  • Set credit limits, negotiate legal documentation (ISDA, GMRA, PB), monitor exposures.
  • Partner with front office, legal, and risk teams to maintain risk controls.

Skills

Hedge fund counterparty credit risk
Investment risk experience
Understanding of OTC & listed derivatives
Knowledge of hedge fund strategies

Education

Degree in Finance or related field
Master's degree

Tools

ISDA & GMRA familiarity

Job description

Research Associate – Banking & Finance (Contracts)

A leading global financial institution is seeking a Hedge Fund Credit Analyst (VP) to join its Hedge Funds Risk function in New York City. The team is responsible for managing counterparty credit risk across hedge funds, fund of hedge funds, proprietary trading groups, and structured products.

Responsibilities
  • Conduct comprehensive due diligence and credit assessments on hedge fund and FoHF clients.
  • Set credit limits, negotiate legal documentation (ISDA, GMRA, PB), and monitor exposures across global markets.
  • Partner closely with front office, legal, and risk teams to maintain sound risk controls and governance.
Qualifications
  • 3+ years of hedge fund counterparty credit risk or investment risk experience.
  • Strong understanding of OTC & listed derivatives and hedge fund strategies.
  • Experience reviewing ISDAs and financing agreements.
  • A degree in Finance or a related field (Master’s a plus).

You’ll join a firm recognized for its strong risk culture, inclusive environment, and global reach—with a competitive base, annual bonus potential, and a comprehensive benefits package.

If you’re open to a confidential chat, send me your CV to J.mccallum@hwthree.com or to R.jacobie@hwthree.com

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