Newinvisible AI for interviewsTry Cue
Featured

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