Entdecken Sie Ihre Traumkarriere
Für Arbeitgeber

Risk Manager

Caxton Associates Bangalore, Indien
Gepostet vor 3 Monaten Festanstellung Competitive

Risk Manager

Caxton Associates Bangalore, Indien
Risk Manager
{"description": " About Caxton Associates:

Caxton Associates, founded in 1983, is a global trading and investment firm with offices in New York, London, Singapore, Monaco and Dubai. Our primary business is to manage client and proprietary capital through global macro hedge fund strategies. As part of our continued growth, we are establishing a new office in Bangalore, India. This office will play a critical role in supporting our trading, research, and operations globally.

About the role:

We are seeking a strong candidate to join our global risk management team, with strong practical risk judgement who is deeply engaged with markets and enjoy partnering with portfolio managers in real time to challenge, inform, and improve investment decisions.

The firm's portfolio management teams engage in a diverse set of investment strategies spanning all asset classes. The risk function is an integral part of the firm's investment process and is responsible for the development of risk management frameworks to assess, manage and ultimately control the risk for each strategy and the firm in aggregate. The risk management team reports directly into the firm's COO/CRO.

Responsibilities:

  • Reviewing and assessing the evolving risk profile of the firm and individual strategies
  • Act as the primary risk contact for regional portfolio managers during local market hours
  • Engage directly with PMs on scenario analysis, stress testing, and portfolio construction trade-offs
  • Assessing the skill of the individual trading teams
  • Provide ongoing risk commentary and market analysis
  • Contribute to enhancement of risk infrastructure and provide new and innovative risk management measures/frameworks in coordination with global risk teams
  • Contribute to risk committee reporting and broader risk framework development initiatives

Experience:

  • College degree in Mathematics, Engineering, Computational Finance or Economics is preferred
  • 10+ years of experience in market risk management or portfolio risk, ideally at a macro hedge fund, multi-asset fund, or investment bank
  • A broad-based knowledge of financial products, including derivatives
  • Strong understanding of global macro strategies across rates, FX, equities, credit, commodities
  • Strong SQL skills, Python would be a plus
  • Experience with MSCI Riskmetrics, Axioma Equity Factor Model, Orchestrade would be a plus
  • Hands-on experience with trading limits, risk controls, and escalation processes
  • A proficient knowledge of financial mathematics and market risk measurement techniques
  • Ability to communicate clearly and concisely, in both technical and layman's terms
  • Attention to detail, a self-starter and a naturally curious mindset
", "salary_raw": "Row(double=None, string=None)"}
Job ID  79C4C37AE9
Mehr Jobs von Caxton Associates
Caxton Associates
Product Controller
Caxton Associates
Bangalore, India
vor 26 Tagen Vollzeit Competitive
Caxton Associates
Hedge Fund Controller
Caxton Associates
Bangalore, India
vor 1 Monat Vollzeit Competitive
Caxton Associates
Network Security Engineer
Caxton Associates
Bangalore, India
vor 1 Monat Vollzeit Competitive
Caxton Associates
AWS Engineer
Caxton Associates
Bangalore, India
vor 2 Monaten Vollzeit Competitive
Caxton Associates
Broker Relations and Vendor Analyst
Caxton Associates
Bangalore, India
vor 3 Monaten Vollzeit Competitive
Caxton Associates
Senior C#.Net & Python Developer
Caxton Associates
Bangalore, India
vor 3 Monaten Vollzeit Competitive
Caxton Associates
Quantitative Developer
Caxton Associates
Bangalore, India
vor 6 Monaten Vollzeit Competitive
Caxton Associates
Investment Analyst, FX & Rates
Caxton Associates
Singapore
vor 1 Tag Vollzeit Competitive
Caxton Associates
Associate Portfolio Manager Program - London
Caxton Associates
London, United Kingdom
vor 1 Monat Vollzeit Competitive
Caxton Associates
Associate Portfolio Manager Program - Dubai
Caxton Associates
Dubai, United Arab Emirates
vor 1 Monat Vollzeit Competitive

Treiben Sie Ihre Karriere voran

Finden Sie Tausende von Stellenangeboten, indem Sie sich noch heute bei eFinancialCareers anmelden.
Ähnliche Jobangebote
London Stock Exchange Group
Third Party Risk Manager
London Stock Exchange Group
Bangalore, India
State Street Corporation
Model Risk Senior Audit Manager, Vice President
State Street Corporation
Bangalore, India
State Street Corporation
Risk Analytics- Senior Manager
State Street Corporation
Bangalore, India
State Street Corporation
Operational Risk - Manager
State Street Corporation
Bangalore, India
State Street Corporation
Risk Analytics- Assistant Manager
State Street Corporation
Bangalore, India