Hybrid Investment Risk Analyst – London (Market & Liquidity)
Hybrid Investment Risk Analyst – London (Market & Liquidity)

Hybrid Investment Risk Analyst – London (Market & Liquidity)

Full-Time 50000 - 70000 £ / year (est.) Home office (partial)
Jupiter Asset Mgmt

At a Glance

  • Tasks: Conduct regulatory checks and produce risk reports while supporting new business initiatives.
  • Company: Join Jupiter Asset Management, a leading firm in the investment sector.
  • Benefits: Enjoy a hybrid working model, competitive salary, and opportunities for professional growth.
  • Other info: Engage with stakeholders in a dynamic and supportive environment.
  • Why this job: Make an impact in investment risk analysis while balancing work and life.
  • Qualifications: Strong analytical skills, excellent communication, and advanced Excel proficiency required.

The predicted salary is between 50000 - 70000 £ per year.

Jupiter Asset Mgmt is looking for an Investment Risk Analyst based in London. The role involves conducting regulatory checks, producing risk reports, and supporting new business initiatives while engaging with stakeholders.

The ideal candidate must be highly analytical, possess excellent communication skills, and have strong IT abilities including advanced Excel.

A hybrid working model is offered, allowing employees to balance office and remote work effectively.

Hybrid Investment Risk Analyst – London (Market & Liquidity) employer: Jupiter Asset Mgmt

Jupiter Asset Management is an exceptional employer that fosters a dynamic and inclusive work culture in the heart of London. With a strong emphasis on employee growth, we offer comprehensive training and development opportunities alongside a hybrid working model that promotes work-life balance. Join us to be part of a forward-thinking team where your analytical skills will be valued and your contributions will directly impact our business initiatives.
Jupiter Asset Mgmt

Contact Detail:

Jupiter Asset Mgmt Recruiting Team

StudySmarter Expert Advice 🤫

We think this is how you could land Hybrid Investment Risk Analyst – London (Market & Liquidity)

Tip Number 1

Network like a pro! Reach out to professionals in the investment risk field on LinkedIn or at industry events. Engaging with people already in the game can give us insider info and maybe even a foot in the door.

Tip Number 2

Prepare for those interviews! Research Jupiter Asset Management and understand their approach to market and liquidity risks. We want to show that we’re not just interested in the role, but also in how we can contribute to their success.

Tip Number 3

Show off your analytical skills! Be ready to discuss specific examples of how you’ve tackled risk analysis in the past. We need to demonstrate our ability to produce insightful risk reports and engage effectively with stakeholders.

Tip Number 4

Don’t forget to apply through our website! It’s the best way to ensure your application gets noticed. Plus, we can keep track of our progress and stay updated on any new opportunities that pop up.

We think you need these skills to ace Hybrid Investment Risk Analyst – London (Market & Liquidity)

Analytical Skills
Communication Skills
Advanced Excel
Regulatory Compliance
Risk Reporting
Stakeholder Engagement
IT Skills
Business Initiative Support

Some tips for your application 🫡

Tailor Your CV: Make sure your CV reflects the skills and experiences that match the Investment Risk Analyst role. Highlight your analytical abilities, communication skills, and any relevant IT expertise, especially with Excel.

Craft a Compelling Cover Letter: Use your cover letter to tell us why you're the perfect fit for this role. Share specific examples of how you've conducted regulatory checks or produced risk reports in the past to show your experience.

Showcase Your Stakeholder Engagement: Since the role involves engaging with stakeholders, mention any previous experiences where you’ve successfully collaborated with others. This will demonstrate your ability to communicate effectively in a team setting.

Apply Through Our Website: We encourage you to apply directly through our website. It’s the best way for us to receive your application and ensures you’re considered for the role without any hiccups!

How to prepare for a job interview at Jupiter Asset Mgmt

Know Your Numbers

As an Investment Risk Analyst, you'll need to demonstrate your analytical skills. Brush up on key financial metrics and risk assessment techniques. Be ready to discuss how you would approach regulatory checks and produce risk reports.

Excel Like a Pro

Since strong IT abilities, especially in Excel, are crucial for this role, make sure you’re comfortable with advanced functions. Prepare to showcase your skills by discussing past experiences where you used Excel to analyse data or create reports.

Engage with Stakeholders

Communication is key! Think of examples where you've successfully engaged with stakeholders. Be prepared to explain how you would support new business initiatives while ensuring that all parties are informed and aligned.

Embrace the Hybrid Model

With a hybrid working model in place, show that you can balance remote and office work effectively. Discuss your strategies for staying productive and connected with your team, whether you're at home or in the office.

Hybrid Investment Risk Analyst – London (Market & Liquidity)
Jupiter Asset Mgmt

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