A Systematic Multi Strat Hedge Fund is seeking a Senior Risk Officer to join the team in Chicago, Boston, or NYC.
The fund runs strategies in L/S Equity, Fixed Income RV, Quantitative Macro, FX Volatility, Index Rebal, and more across all asset classes. This hire will take on a high level mandate, overseeing risk across multiple strategies and partnering directly with the Chief Risk Officer.
The firm wants this individual to take an innovative approach to enhance hedge strategy and evaluate PM performance while managing firmwide exposures.
Qualifications:
- 5+ years of buy side risk management experience
- MBA or MS in a Quantitative Discipline
- Multi Asset and Multi Strategy exposure
- Risk Analytics: Stress Testing, VaR analysis, volatlity metrics, Greeks, Interest Rate/Credit Risk
