At a Glance
- Tasks: Lead and mentor a team in analyzing investment risks and managing portfolios.
- Company: Join a top-tier financial services organization with a global presence.
- Benefits: Enjoy a competitive day rate of £850pd and flexible work options.
- Why this job: Make an impact by shaping investment risk strategies and mentoring future leaders.
- Qualifications: Experience in investment risk management and strong leadership skills required.
- Other info: This is a 12-month contract role with opportunities for professional growth.
A leading financial services organisation is currently searching for Investment Risk Manager on a 12 month contract basis.The day rate will be £850pd Umbrella per day, with two to three days out of their city of London offices. Responsibilities for the role are; To provide managerial cover as a senior manager within the global investment risk team for a 12 month period To manage and mentor a team of risk analysts within the 2LOD analytical risk function To undertake analysis of portfolios with the aim of providing insight into the management of the portfolios and any investment risk issues that may be present To provide coaching, support and training on investment risk matters, techniques and system to other members of the Investment Risk Team and wider business as required/appropriate. Contribute to effective management and development roadmaps of the investment risk oversight function ensuring that the Investment Risk Framework operates optimally to adequately identify and assess prevailing and emerging risks in portfolios and products Contribute to the effective management and governance of (where appropriate): Attendance and contribution at the Investment Risk & Performance Groups and Investment Oversight Committee Chair/attend other relevant governance committees as required/appropriate Delivery, if required, of Investment Risk MI/reporting to Board, governance and Manage…
Investment Risk Manager / 12 Month Contract employer: Huxley
Contact Detail:
Huxley Recruiting Team
StudySmarter Expert Advice 🤫
We think this is how you could land Investment Risk Manager / 12 Month Contract
✨Tip Number 1
Make sure to highlight your experience in managing and mentoring teams, as this role requires you to lead a group of risk analysts. Be prepared to discuss specific examples of how you've successfully guided team members in the past.
✨Tip Number 2
Familiarize yourself with the latest trends and techniques in investment risk management. Being able to discuss current methodologies and how they can be applied to the role will demonstrate your expertise and commitment to the field.
✨Tip Number 3
Prepare to showcase your analytical skills by discussing previous portfolio analyses you've conducted. Highlight how your insights have led to improved risk management strategies or decision-making processes.
✨Tip Number 4
Network with professionals in the financial services sector, especially those involved in investment risk. Engaging with industry peers can provide valuable insights and potentially lead to referrals for the position.
We think you need these skills to ace Investment Risk Manager / 12 Month Contract
Some tips for your application 🫡
Tailor Your CV: Make sure your CV highlights relevant experience in investment risk management. Focus on your managerial skills and any experience mentoring teams, as these are key responsibilities for the role.
Craft a Strong Cover Letter: In your cover letter, emphasize your understanding of investment risk frameworks and your ability to analyze portfolios. Mention specific examples of how you've contributed to risk management in previous roles.
Highlight Relevant Skills: Clearly outline your skills related to investment risk analysis, team management, and governance. Use industry-specific terminology to demonstrate your expertise and familiarity with the field.
Proofread Your Application: Before submitting, carefully proofread your application materials. Ensure there are no grammatical errors or typos, as attention to detail is crucial in the financial services sector.
How to prepare for a job interview at Huxley
✨Understand the Role and Responsibilities
Make sure you thoroughly understand the responsibilities of an Investment Risk Manager. Be prepared to discuss how your experience aligns with managing a team of risk analysts and providing insights into portfolio management.
✨Showcase Your Analytical Skills
Prepare examples of how you've previously analyzed portfolios and identified investment risks. Highlight specific techniques or systems you've used to manage these risks effectively.
✨Demonstrate Leadership and Mentoring Experience
Since the role involves managing and mentoring a team, be ready to share your experiences in leadership. Discuss how you've coached others in investment risk matters and contributed to their professional development.
✨Familiarize Yourself with Governance Structures
Research the governance committees relevant to investment risk oversight. Be prepared to discuss how you would contribute to these groups and ensure effective management of investment risk frameworks.