A high-growth financial services organisation, is seeking an experienced Risk Manager to join its London based team. This role offers the opportunity to make a visible impact in a business that is evolving rapidly and bringing innovative solutions to the financial services industry. The fast-paced environment provides excellent exposure to new challenges, technologies and career development opportunities.
You will
- Monitor risk across client investment portfolios and financing activities.
- Assess and manage margin requirements and exposure levels.
- Support oversight of multi-asset trading and investment positions.
- Build strong relationships with clients, traders and senior business leaders.
- Provide risk insights and recommendations to support informed decision-making.
Key Requirements
- 5+ years' experience in Prime Services, Prime Brokerage Risk or Trading Risk.
- Strong knowledge of equities, fixed income and margin methodologies.
- Experience managing portfolio and counterparty risk.
- Understanding of regulatory and capital frameworks.
- Excellent communication and stakeholder management skills.
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