Exciting opportunity for a high calibre market or investment risk professional to join a market leading investment manager. Excellent work life balance and package on offer.
Our client is an international investment manager who manage in excess of €100bn of client assets globally. As a direct result of this substantial growth, there is an opportunity to join their investment risk team.
You will work on the investment risk team, produce investment risk analysis and liaise with portfolio managers on portfolio construction matters. You will also liaise directly with a number of external investment managers on matters relating to the investment strategy with our clients’ fund structures. You will manage data analytics with third party providers and liaise with large clients on risk related queries.
You will have 3 years + experience in a quantitative, risk or investment position within funds or investment management. You will have excellent professional experience across equites, fixed income or derivatives. You will hold a masters qualification in Mathematics, Quants, Finance or associates discipline coupled with a CFA, CAIA, ACCA, or FRM qualification
This is an exciting opportunity for a high performing risk analyst to join an employer of choice and work in high performing environment.
Salary range on offer is €55,000 – 65,000 + Bonus + Benefits. Working hours 9 to 5pm.
How to Apply:
For further information on this job opportunity please apply via this link with your updated CV to Mark Stephens at Camden Recruitment. If you are only passively looking without an updated CV and you are keen to find out more, please feel free to call me on 01 539 0611
|Job Category||Risk Management|
|Job Id||€55,000 – 65,000 + Bonus + Benefits. Working hours 9 to 5pm.|