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Senior Investment Risk Manager (Equities)

Bruin

Job Description

Leading Global Asset Manager is seeking a Senior Equity Risk Manager to provide independent quantitative risk oversight across equity strategies and partner directly with portfolio managers and senior investment leaders.

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Location: Baltimore, MD

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4 days onsite / 1 day remote

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Key Responsibilities

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• Oversee risk across assigned equity strategies and identify material portfolio exposures

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• Analyse factor, security, sector, concentration and portfolio risks

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• Conduct VaR, volatility, tracking error, stress and tail risk analysis

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• Translate quantitative analysis into clear actionable investment insights

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• Develop risk dashboards, reporting and analytical tools using proprietary and vendor data

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• Partner with investment, technology and senior leadership teams

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Experience and Skills Required

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• 8+ years of relevant experience within asset management or investment risk

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• Strong buy side equity risk, portfolio construction and global markets expertise

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• Experience with quantitative risk methodologies and portfolio risk systems

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• Strong Python, R or comparable programming and data analysis skills

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• Experience with platforms such as MSCI BarraOne or RiskManager preferred

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• Excellent communication and stakeholder management skills with the ability to engage credibly with portfolio managers and senior investment professionals

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• CFA, FRM, PRM or advanced quantitative degree preferred

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Vacancy posted 4 days ago
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