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Investment Risk Analyst, Asset Management, London
eFinancialCareers
Responsibilities
Deliver investment risk analysis and reporting across both public and private markets funds
Measure and monitor market, liquidity, counterparty credit, leverage, and valuation risks
Cover investment strategies including public equities, credit and fixed income, private credit, private equity, real estate, and infrastructure
Maintain and enhance risk data, quantitative models, and reporting systems and workflows
Produce risk reporting for committees, internal stakeholders, and regulators
Implement and test enhanced risk and quantitative models, risk systems, and automated reporting
Requirements
Previous experience in investment risk, market risk, or quantitative analysis within asset management, wealth management, or private markets
Degree in mathematics, economics, or finance-related quantitative discipline as preferred
Strong quantitative skills; proficiency in Python and/or SQL; advanced Excel
Familiarity with MSCI and/or Bloomberg is advantageous
Apply now