Senior Multi-Asset Risk Manager — Market & Liquidity
Senior Multi-Asset Risk Manager — Market & Liquidity

Senior Multi-Asset Risk Manager — Market & Liquidity

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

  • Tasks: Monitor and manage risks across diverse investment portfolios with a focus on market and liquidity.
  • Company: Leading alternative investment management firm based in London.
  • Benefits: Flexible working arrangements, extensive benefits, and community volunteering leave.
  • Why this job: Join a collaborative team and enhance your career in risk management.
  • Qualifications: 5+ years of Market Risk experience and strong analytical skills, proficiency in Python required.
  • Other info: Great opportunities for career development and competitive holiday package.

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

A leading alternative investment management firm in London is seeking an energetic Risk Manager for its Investment Risk Management team. The role involves independent risk monitoring and management across multi-asset class portfolios.

Candidates should have over 5 years of Market Risk experience, strong analytical skills, and proficiency in Python.

This position offers a collaborative working environment, flexible arrangements, and an extensive benefits package including community volunteering leave, career development opportunities, and competitive holidays.

Senior Multi-Asset Risk Manager — Market & Liquidity employer: Man Group

As a leading alternative investment management firm in London, we pride ourselves on fostering a collaborative and dynamic work culture that empowers our employees to excel. With flexible working arrangements, an extensive benefits package including community volunteering leave, and ample career development opportunities, we are committed to supporting your professional growth while making a meaningful impact in the investment landscape.
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Contact Detail:

Man Group Recruiting Team

StudySmarter Expert Advice 🤫

We think this is how you could land Senior Multi-Asset Risk Manager — Market & Liquidity

Tip Number 1

Network like a pro! Reach out to your connections in the finance and investment sectors. Attend industry events or webinars to meet potential employers and get your name out there.

Tip Number 2

Show off your skills! If you’ve got experience with Python, create a small project or analysis that showcases your analytical abilities. Share it on LinkedIn or during interviews to impress hiring managers.

Tip Number 3

Prepare for those tricky interview questions! Brush up on your market risk knowledge and be ready to discuss how you’d manage risks across multi-asset portfolios. Practice makes perfect!

Tip Number 4

Don’t forget to apply through our website! We’ve got loads of opportunities that might just be the perfect fit for you. Plus, it’s a great way to show your enthusiasm for joining our team.

We think you need these skills to ace Senior Multi-Asset Risk Manager — Market & Liquidity

Market Risk Experience
Analytical Skills
Risk Monitoring
Risk Management
Multi-Asset Class Knowledge
Proficiency in Python
Collaboration Skills
Problem-Solving Skills

Some tips for your application 🫡

Tailor Your CV: Make sure your CV highlights your relevant experience in Market Risk and showcases your analytical skills. We want to see how your background aligns with the role, so don’t be shy about emphasising your Python proficiency!

Craft a Compelling Cover Letter: Your cover letter is your chance to shine! Use it to explain why you’re passionate about risk management and how you can contribute to our Investment Risk Management team. Keep it engaging and personal – we love to see your personality!

Showcase Your Collaborative Spirit: Since we value a collaborative working environment, make sure to mention any experiences where you’ve worked effectively in a team. Highlighting your ability to work well with others will definitely catch our eye!

Apply Through Our Website: We encourage you to apply directly through our website for a smoother application process. It’s the best way for us to receive your application and ensures you don’t miss out on any important updates!

How to prepare for a job interview at Man Group

Know Your Risk Management Fundamentals

Make sure you brush up on your market risk concepts and multi-asset class portfolios. Be ready to discuss how you've applied these principles in your previous roles, as this will show your depth of knowledge and experience.

Show Off Your Analytical Skills

Prepare to demonstrate your analytical prowess during the interview. Bring examples of how you've used data analysis to inform risk decisions, and if possible, be ready to discuss any relevant projects where you utilised Python for risk management.

Emphasise Collaboration

Since the role involves working within a team, highlight your experience in collaborative environments. Share specific instances where you worked with others to solve complex problems or improve processes, showcasing your ability to thrive in a team setting.

Ask Insightful Questions

Prepare thoughtful questions about the firm's approach to risk management and their investment strategies. This not only shows your genuine interest in the role but also gives you a chance to assess if the company culture aligns with your values.

Senior Multi-Asset Risk Manager — Market & Liquidity
Man Group

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