Investment Risk Manager – Global FI & Equity (Hybrid, London)
Investment Risk Manager – Global FI & Equity (Hybrid, London)

Investment Risk Manager – Global FI & Equity (Hybrid, London)

Full-Time 43200 - 72000 £ / year (est.) Home office (partial)
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At a Glance

  • Tasks: Manage risks across diverse portfolios to safeguard financial operations.
  • Company: Leading European asset manager with a strong reputation in the industry.
  • Benefits: Hybrid work environment, competitive salary, and opportunities for professional growth.
  • Why this job: Join a dynamic team and make a real impact in risk management.
  • Qualifications: Master’s degree and 2+ years of experience in risk management required.
  • Other info: Ideal for those looking to advance their career in a supportive environment.

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

A leading European asset manager is seeking a Risk Manager to join their Risk team in London. This role involves safeguarding financial operations by managing risks across various portfolios.

The ideal candidate will hold a Master’s degree and possess at least 2 years of relevant experience in risk management, preferably within the asset management space. Excellent communication skills and proficiency with financial data tools are crucial.

The position offers a hybrid work environment.

Investment Risk Manager – Global FI & Equity (Hybrid, London) employer: London

As a leading European asset manager, we pride ourselves on fostering a dynamic and inclusive work culture that prioritises employee growth and development. Our London office offers a hybrid work environment, allowing for flexibility while engaging in meaningful financial operations. With a commitment to professional advancement and a collaborative atmosphere, we provide our team members with the tools and support they need to thrive in their careers.
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Contact Detail:

London Recruiting Team

StudySmarter Expert Advice 🤫

We think this is how you could land Investment Risk Manager – Global FI & Equity (Hybrid, London)

Tip Number 1

Network like a pro! Reach out to professionals in the asset management space on LinkedIn. A friendly message can go a long way, and you never know who might have the inside scoop on job openings.

Tip Number 2

Prepare for interviews by brushing up on your financial data tools. Make sure you can confidently discuss how you've used them in past roles. We want you to shine when it comes to showcasing your skills!

Tip Number 3

Don’t just apply anywhere; focus on companies that align with your values and career goals. Use our website to find roles that excite you and match your expertise in risk management.

Tip Number 4

Follow up after interviews! A quick thank-you email can keep you top of mind. It shows your enthusiasm for the role and gives you another chance to highlight your fit for the position.

We think you need these skills to ace Investment Risk Manager – Global FI & Equity (Hybrid, London)

Risk Management
Financial Data Analysis
Communication Skills
Portfolio Management
Proficiency with Financial Data Tools
Master's Degree
Experience in Asset Management
Analytical Skills

Some tips for your application 🫡

Tailor Your CV: Make sure your CV is tailored to the Investment Risk Manager role. Highlight your relevant experience in risk management and any specific projects that showcase your skills in managing financial risks.

Craft a Compelling Cover Letter: Your cover letter should tell us why you're the perfect fit for this position. Use it to explain how your Master’s degree and experience align with the job requirements, and don’t forget to mention your communication skills!

Showcase Your Data Skills: Since proficiency with financial data tools is crucial, make sure to include any relevant software or tools you’ve used in your previous roles. We want to see how you can leverage these skills in our team.

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. Plus, it’s super easy!

How to prepare for a job interview at London

Know Your Risk Management Fundamentals

Make sure you brush up on key risk management concepts and frameworks relevant to asset management. Be prepared to discuss how you've applied these principles in your previous roles, especially in managing financial risks across portfolios.

Showcase Your Communication Skills

Since excellent communication is crucial for this role, practice articulating complex financial data in a clear and concise manner. You might be asked to explain your thought process or findings, so being able to communicate effectively will set you apart.

Familiarise Yourself with Financial Data Tools

Get comfortable with the financial data tools commonly used in risk management. If you have experience with specific software, be ready to discuss how you've used it to analyse risk and make informed decisions in your past roles.

Prepare for Hybrid Work Questions

As this position offers a hybrid work environment, think about how you can effectively manage your time and productivity in such a setting. Be ready to share examples of how you've successfully worked remotely or in a flexible work arrangement before.

Investment Risk Manager – Global FI & Equity (Hybrid, London)
London
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  • Investment Risk Manager – Global FI & Equity (Hybrid, London)

    Full-Time
    43200 - 72000 £ / year (est.)
  • L

    London

    50-100
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