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Singapore, Singapore

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BNY Mellon

Lake Mary,

BNY Mellon

Manchester, United Kingdom

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Senior Risk Manager - Macro/Rates
A $6+ billion Multi Strategy Hedge Fund in NYC is looking to hire a Senior Risk Manager to cover the Global Macro business. This hire will manage 1-2 juniors as the team continues to grow. This fund has grown consistently from an AUM perspective, and over the past few years have onboarded PMs to grow their strategy coverage. The Discretionary and Systematic Macro business has achieved strong performances and this hire will work directly with the PMs to optimize performance. The ideal candidate is a market risk manager with strong knowledge of Rates/Rates Derivatives in addition to Global FX markets, US/EUR HY/IG credit, and Global Commodities markets. Prior management experience is preferred to lead a lean team from day one, and quant and coding skills are a plus.


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