
Our client, a growing asset manager, is looking for a sharp risk professional to join their team. This firm has a strong fixed income heritage (alternatives a plus) and a culture where experienced people actually get to do meaningful work.
The right person brings:
✅ 10+ years in investment risk, with fixed income at the core
✅ Python skills applied to real modeling and valuation challenges
✅ Fluency in mutual fund and institutional account regulations
✅ Experience across liquidity risk, counterparty risk, and complex securities valuation
✅ CFA or FRM (preferred, not required)
In this role you'd be shaping risk frameworks, driving quantitative analysis, and partnering closely with investment and accounting teams — not just monitoring dashboards.
If you're a senior risk professional who wants to be in the room where decisions get made, this could be worth a conversation.
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