This hire is part of a wider growth plan, and the fund is growing in terms of AUM, breath of products and markets traded. This has led to the need to build out the risk team. The risk function at this firm is trading focused, and experience working closely with Traders and/or PMâ??s, on areas such as trade sizing and portfolio correlation, will be relevant. They are looking for a candidate with a strong understanding of linear interest rate derivatives trading and the team have a significant RV focus, so candidates with applied experience of strategies such as bond basis / bond RV will be a good fit.
The fund has an entrepreneurial culture and are looking for candidates who can demonstrate a pragmatic and adaptable mindset. The team are highly regarded and high achieving individuals, so this hire is likely to share the same characteristics and entrepreneurial qualities. Due to the flat structure of the setup, this position will work directly with c-level, so a self-starter and independent thinker are crucial aspects to any candidate. However, it isnâ??t a siloed position, and the firm demonstrate a collegiate environment to work within.
Requirements
5 years plus experience working as a Risk Manager focusing on linear interest rate products
Fixed Income RV experience a significant plus
Excellent academic pedigree
Experience working in a top tier bank or hedge fund
Due to demand, we are advertising this role anonymously. If you would prefer to speak to someone before submitting a CV, please send a blank application to the role and someone will be in touch to discuss.
We can only respond to highly qualified candidates.Â