Risk Management Executive

Risk Management Executive

London Full-Time 43200 - 72000 £ / year (est.) No home office possible
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At a Glance

  • Tasks: Manage local currency EMD portfolios and oversee risk allocations in broader strategies.
  • Company: Join a dynamic global fixed income team with a strong focus on emerging markets.
  • Benefits: Enjoy competitive pay, healthcare, generous vacation, and financial wellness support.
  • Why this job: Be part of an innovative, inclusive culture that values long-term thinking and personal growth.
  • Qualifications: 7-10 years in fixed income management, advanced degree preferred, CFA designation is a plus.
  • Other info: Work in a diverse environment with access to deep research and trading capabilities.

The predicted salary is between 43200 - 72000 £ per year.

Position Overview: We are seeking a highly skilled and experienced Emerging Market Debt (Local) Portfolio Manager to join our dynamic and collaborative global fixed income team. The ideal candidate will have a proven long-term track record of strong performance managing active local market mandates, particularly benchmarked to GBI-EM Global Diversified (GBI-EM GD) indices, or similar background. In addition to managing dedicated local currency portfolios, the candidate will also be responsible for local market allocations within broader EM, blended, and global fixed income portfolios, requiring a flexible and integrated investment approach. The candidate will work closely with the Co-Heads of EMD for selection and sizing of risk. This role offers the opportunity to contribute to a large, well-resourced platform with access to deep research, risk, and trading capabilities. Lead the management of local currency EMD portfolios and local allocations within broader EM, blended, and global strategies. # Develop and maintain a clear, structured framework for portfolio construction, risk budgeting, and performance attribution. # Oversee the implementation, sizing, and management of systematic rates strategies as well as analyzing information from the underlying signals. # Maintain a disciplined, risk-aware investment process, ensuring alignment with client guidelines and internal risk parameters. # Minimum 7–10 years of experience in fixed income portfolio management, with a focus on emerging market local debt. Demonstrated strong performance track record (top quartile) over 1, 3, and 5 years managing active GBI-EM GD mandates, or similar local mandates. Experience managing local allocations within multi-sector portfolios, including EM blended and global fixed income strategies. Deep understanding of macroeconomic drivers, monetary policy, and political risk in emerging markets. Advanced degree in Finance, Economics, or related field preferred; CFA designation preferred. Deep knowledge of EM local markets, including liquidity dynamics, market microstructure, and regulatory environment. Deep sense of risk awareness and accountability in managing client capital. proficiency in quant/market tools and risk systems. Familiarity with a wide range of instruments including local bonds, FX, interest rate derivatives, and structured products. Work in a diverse and inclusive environment that values innovation and long-term thinking. Competitive compensation and career development opportunities. Healthcare & Medical Insurance We offer a wide range of health and welfare programs that vary depending on office location, including medical, dental, short-term disability, long-term disability, life, accidental death, labor accident, and business travel accident insurance. We offer competitive vacation policies based on employee level and office location, promoting time off from work with generous vacation entitlements and a minimum of three weeks expected vacation each year. Financial Wellness & Retirement We assist employees in saving and planning for retirement, offer financial support for higher education, and provide benefits to help employees prepare for the unexpected. We also offer live financial education and content on various topics. We provide medical advocacy, counseling, and referral services through the Employee Assistance Program (EAP), as well as global medical, security, and travel assistance, and ergonomic programs. Some offices have on-site fitness centers, and we reimburse eligible employees for fitness club memberships or activities up to a pre-approved amount. Child Care & Family Care We offer on-site child care centers, mother and baby rooms, homework rooms, and provide resources for expectant parents and transitioning parents. Learn more about our comprehensive benefits package. #

Risk Management Executive employer: Goldman Sachs Bank AG

Join a leading global fixed income team that prioritises innovation and collaboration, offering a dynamic work environment where your expertise in emerging market debt will be valued. With competitive compensation, extensive healthcare benefits, and a strong focus on employee growth and well-being, this role not only provides the opportunity to manage significant portfolios but also supports a balanced work-life culture with generous vacation policies and family care resources. Experience a workplace that champions diversity and inclusivity while equipping you with the tools for long-term career success.
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Contact Detail:

Goldman Sachs Bank AG Recruiting Team

StudySmarter Expert Advice 🤫

We think this is how you could land Risk Management Executive

✨Tip Number 1

Network with professionals in the fixed income and emerging markets sectors. Attend industry conferences, webinars, or local meetups to connect with potential colleagues and learn about the latest trends in risk management.

✨Tip Number 2

Stay updated on macroeconomic developments and political risks in emerging markets. Follow relevant news sources and reports to demonstrate your knowledge during interviews and discussions with our team.

✨Tip Number 3

Familiarise yourself with the GBI-EM GD indices and other relevant benchmarks. Understanding these metrics will help you articulate your investment strategies and performance during the interview process.

✨Tip Number 4

Prepare to discuss your previous portfolio management experiences, particularly focusing on your track record in managing local currency portfolios. Be ready to provide specific examples of how you've navigated challenges and achieved strong performance.

We think you need these skills to ace Risk Management Executive

Portfolio Management
Risk Management
Emerging Market Debt Expertise
Performance Attribution
Risk Budgeting
Macroeconomic Analysis
Monetary Policy Understanding
Political Risk Assessment
Quantitative Analysis
Market Microstructure Knowledge
Regulatory Environment Familiarity
Client Capital Management
Local Currency Investment Strategies
Fixed Income Instruments Knowledge
Communication Skills
Team Collaboration
Analytical Skills
Attention to Detail
Adaptability

Some tips for your application 🫡

Tailor Your CV: Make sure your CV highlights your experience in fixed income portfolio management, particularly with emerging market local debt. Emphasise any relevant achievements and performance metrics that demonstrate your strong track record.

Craft a Compelling Cover Letter: Write a cover letter that clearly outlines your understanding of macroeconomic drivers and your approach to risk management. Mention specific examples of how you've successfully managed local currency portfolios and contributed to broader investment strategies.

Showcase Relevant Skills: In your application, highlight your proficiency in quant/market tools and risk systems. Discuss your familiarity with various instruments like local bonds and FX, as well as your ability to analyse market signals effectively.

Demonstrate Cultural Fit: Research the company's values and culture, and reflect this in your application. Mention your commitment to working in a diverse and inclusive environment, and how you value innovation and long-term thinking in your investment approach.

How to prepare for a job interview at Goldman Sachs Bank AG

✨Showcase Your Track Record

Be prepared to discuss your previous experience managing local market mandates, especially those benchmarked to GBI-EM GD indices. Highlight specific examples of your strong performance over 1, 3, and 5 years to demonstrate your capability.

✨Understand the Macro Landscape

Familiarise yourself with the macroeconomic drivers, monetary policy, and political risks in emerging markets. This knowledge will help you articulate how these factors influence your investment strategies during the interview.

✨Demonstrate Risk Awareness

Emphasise your disciplined, risk-aware investment process. Be ready to discuss how you align your strategies with client guidelines and internal risk parameters, showcasing your accountability in managing client capital.

✨Prepare for Technical Questions

Expect questions about quant/market tools and risk systems. Brush up on your familiarity with local bonds, FX, interest rate derivatives, and structured products to confidently answer any technical queries.

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