Senior Investment Risk Manager - Fixed Income Markets
Job Title: Senior Investment Risk Manager - Fixed Income Markets
What You Will Do:
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Risk Identification: Proactively identify and analyze portfolio and security-level risks, with a strong focus on fixed income markets.
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Analytics Validation: Continuously validate multi-asset analytics to ensure “trade-level” quality.
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Risk Committee Presentation: Present key risks, concerns, and risk initiatives to the Risk Committee.
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Reporting: Produce regular and ad-hoc reports with precision and attention to detail.
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Process Optimization: Evaluate current risk management processes and optimize them for greater efficiency, improved scalability, and reduced error scope.
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Stakeholder Collaboration: Escalate and collaborate with various stakeholders, including line management, fund managers, IT, operations, or system support, as needed.
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Cross-Functional Support: Collaborate with other business areas to achieve their goals and contribute to efficiency improvements.
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Marketing Collaboration: Support marketing efforts to attract prospective clients.
Who You Are:
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College degree required.
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7+ years of experience in fixed income markets, demonstrating a detailed understanding of fixed income securities.
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Proven experience in a market/investment risk role within an asset management company or insurance company.
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Strong problem-solving and analytical skills, with the ability to navigate major fixed income asset classes and monitor various markets.
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Working knowledge of risk analytics systems such as Aladdin, BarraOne, Polypaths, etc., as well as proficiency in Microsoft Excel (including VBA), SQL, and any programming languages.
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Experience with data visualization tools such as Power BI or Tableau.
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Project management experience, including managing projects and stakeholder communications.
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Ability to explain complex concepts and data to multi-disciplinary audiences.
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Confidence and articulation, effectively balancing the dual roles of enforcing oversight while collaborating with the front office.
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Bachelor’s degree in finance or a related field.
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Ability to work a hybrid schedule in our Hartford, CT office.
Compensation:
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Salary Range: $175,000 – $200,000, plus eligibility for an annual bonus program.