At a Glance
- Tasks: Lead risk analysis for private credit strategies and present findings to stakeholders.
- Company: Join a global credit hedge fund known for its innovative investment strategies.
- Benefits: Enjoy hybrid work flexibility and opportunities for professional growth.
- Why this job: Be part of a dynamic team shaping the future of private credit with cutting-edge tools.
- Qualifications: Strong background in Maths, Physics, or Engineering; knowledge of private credit is essential.
- Other info: Opportunity to work with technology teams and enhance analytical capabilities.
The predicted salary is between 72000 - 108000 £ per year.
My client is a global credit hedge fund and is looking to hire a Risk Manager to focus on the fund's private credit strategies. The role will support the private credit business and help build capabilities for private credit and risk tools.
Responsibilities:
- Risk analysis on private credit fund models
- Presenting analysis to Investors and Portfolio Managers
- Working with technology teams to automate new analysis
- Running analysis in Python
Qualifications:
- Strong academic background in Maths, Physics, or Engineering
- Strong private credit or private equity knowledge
- Excellent communication and presentation skills
Senior Risk Manager, Private Credit, Hedge Fund | London, UK | Hybrid employer: JMD Reg Consultancy LTD
Contact Detail:
JMD Reg Consultancy LTD Recruiting Team
StudySmarter Expert Advice 🤫
We think this is how you could land Senior Risk Manager, Private Credit, Hedge Fund | London, UK | Hybrid
✨Tip Number 1
Familiarise yourself with the latest trends and developments in private credit and hedge funds. This knowledge will not only help you during interviews but also demonstrate your genuine interest in the field.
✨Tip Number 2
Network with professionals in the hedge fund industry, especially those focused on private credit. Attend relevant events or webinars to make connections that could lead to referrals or insider information about the role.
✨Tip Number 3
Brush up on your Python skills, as the role involves running analyses using this programming language. Consider working on small projects or contributing to open-source initiatives to showcase your technical abilities.
✨Tip Number 4
Prepare to discuss your analytical approach and how you would present findings to investors and portfolio managers. Practising your presentation skills can set you apart and show that you can communicate complex ideas effectively.
We think you need these skills to ace Senior Risk Manager, Private Credit, Hedge Fund | London, UK | Hybrid
Some tips for your application 🫡
Tailor Your CV: Make sure your CV highlights your strong academic background in Maths, Physics, or Engineering. Emphasise any relevant experience in private credit or private equity, and showcase your analytical skills.
Craft a Compelling Cover Letter: In your cover letter, explain why you are interested in the Senior Risk Manager position. Discuss your experience with risk analysis and how it relates to private credit strategies. Mention your communication skills and ability to present complex analyses.
Showcase Technical Skills: Since the role involves running analysis in Python, be sure to mention your proficiency in this programming language. If you have experience working with technology teams to automate analysis, include specific examples.
Prepare for Interviews: If you get invited for an interview, prepare to discuss your previous risk management experiences in detail. Be ready to present your analysis skills and how you would approach risk analysis for private credit fund models.
How to prepare for a job interview at JMD Reg Consultancy LTD
✨Showcase Your Technical Skills
As a Senior Risk Manager, you'll need to demonstrate your proficiency in risk analysis and Python. Be prepared to discuss specific projects where you've used these skills, and consider bringing examples of your work to the interview.
✨Understand Private Credit Strategies
Make sure you have a solid grasp of private credit and how it differs from other investment strategies. Research recent trends and challenges in the private credit market, as this knowledge will impress your interviewers and show your commitment to the role.
✨Prepare for Presentation Scenarios
Since the role involves presenting analysis to investors and portfolio managers, practice explaining complex concepts clearly and concisely. You might be asked to present a case study or analysis during the interview, so be ready to showcase your communication skills.
✨Collaborate with Technology Teams
Highlight any experience you have working with technology teams to automate processes or improve analysis tools. Discuss how you can bridge the gap between risk management and technology, as this is crucial for the role.