Senior Risk Manager, Global Hedge Fund
A global hedge fund is looking for a senior Risk Manager with extensive experience and knowledge in credit and rates. The candidate is expected to be involved in multiple market risk management and performance/data analysis areas.
The successful candidate must have the following:
- 5 or more years' experience in market risk management, directly facing investment team.
- Deep understanding of Rates products/market; work experience with Credit products/market would be preferred.
- Experience in performance analysis; return and risk attribution.
- Good technical skill, e.g. familiar with coding in one language, sql etc; good stats knowledge
- Comfortable working in a dynamic environment with multi-tasking.
If you believe you fit the requirements for the role, please click APPLY NOW or call 6854 5620 for a confidential discussion, or send CV directly to email@example.com
Data provided is for recruitment purposes only. Business License Number: 200611680D. EA Registration Number: R1656980