SM Investment Risk Manager – Fund Manager

  • Sydney
  • $220k ++

New Role – SM Investment Risk Manager – Fund Manager

Organisation

An International Fund Manager is looking for a Senior Manager for their growing Investment Risk team reporting into the MD

Role

  • Lead a team of Quantitative Analysts and Risk Managers providing oversight across Market and Liquidity Risk
  • Drive the development of financial modelling used in the business and line 2 Risk management and reporting including validation responsibilities
  • Ownership of line 2 risk reporting suite including VaR, Stress testing, Exposure & Sensitivity reporting
  • Oversight of preparation and delivery of risk reporting to Board and Business
  • Drive Vendor engagement for Risk Infrastructure initiatives and work directly with Risk IT functions
  • Support and develop the framework and methodologies in line with the development of the business and impact of regulatory change
  • Representation of Risk Management on the New Product steering committee
  • Function also provides consultative services to teams developing Performance Attribution and Factor Analysis  
  • Support the continuous improvement across the business

Individual

  • Proven track record of leading a Market or Investment Risk function across Traded Markets, Treasury or Funds Management 
  • Knowledge of Liquidity, Market Risk, Model Validation and Prototyping, VaR and Risk Sensitivities
  • Understands Fixed Income trading strategies
  • Ability to work in an AGILE environment with exposure to Confluence and JIRA
  • Depth of knowledge across SQL or Python and ability to work large datasets
  • Exposure to Aladdin, Charles River or similar vendor systems desirable

Please do reach out for a chat if you’d like more information on this one: graeme.bradley@avenir-consulting.com.au / +61 421 076 087

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