Portfolio Risk Analyst

Man Group

$80K — $100K *
Finance & Insurance
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • 5-7 years of experience in financial risk management or a related field
  • Full technical understanding of risk management tools including statistical distributions and VAR
  • Broad understanding of hedge fund strategies and their instruments
  • Familiarity with structured products
  • Knowledge of economic capital and regulatory capital frameworks
  • Proficient in advanced Excel and VBA programming
  • Basic accounting and financial reporting knowledge

Responsibilities

  • Identify, measure, and mitigate various financial risks
  • Provide independent oversight for financial risk management teams
  • Develop and monitor risk appetite and limit frameworks
  • Conduct economic capital reporting and analysis including ICAAP submissions
  • Develop and maintain risk methodologies and operational models
  • Monitor structured product risks and review new product proposals
  • Implement process improvements for counterparty monitoring and exposure reporting

Benefits

  • Flexible working arrangements
  • Two annual 'Mankind' days of paid leave for community volunteering
  • Comprehensive benefits package including pension/401k and life coverage
  • Enhanced parental leave and long-service leave
  • Competitive holiday entitlements
  • Private medical coverage options and gym membership discounts (location dependent)
  • Pet insurance availability
Full Job Description
Job Profile Summary:

Man Group's Financial Risk team is responsible for managing all aspects of business, credit, market and liquidity risk insofar as they relate to the risks of Man Group (as distinct from the risks faced by third party investors in the investment products managed by Man).

Responsibilities:
  • The identification, measurement and mitigation of business, credit, market and liquidity risks
  • Provide independent risk oversight of FRM, AHL and for the Structured Products
  • Development of risk appetite and limit frameworks and monitoring of risks in accordance with these frameworks
  • Economic capital reporting and analysis (+ ICAAP submission)
  • Development and maintenance of methodologies, models, systems and policies in support of this (including the operational risk model)
  • Oversight of structured products - monitor risk of Loans to Funds, transparency into monthly rebalance, impact on Illiquid buyout pipeline and Man's liquidity requirements, review of new products
  • Investment risk to AHL and FRM businesses and oversight of risks and risk functions - as an alternate to manager
  • Oversee process improvements into counterparty monitoring and exposure reporting, liaising with Tech & Ops as appropriate
  • Review and improvement of Economic Capital models within constraints of E&Y Model Review (Investment book, Credit, Market-FX, Pension fund)

Key Skills & Experience:
  • Full technical understanding of risk management tools and techniques: including statistical distributions, VAR, Stress testing
  • Broad understanding of hedge fund styles and instruments used to take exposure
  • Broad understanding of structured products
  • Broad understanding of economic capital and regulatory capital framework
  • Advanced Excel skills including VBA
  • Basic understanding of accounting and financial reporting
  • Basic understanding of business processes, internal controls and operational risk concepts
  • Ability to present complex content in a clear and concise manner to ensure understanding among a wider (often senior) audience


The anticipated based salary range for this position is listed below. Compensation packages would also include benefits and a discretionary bonus. This is the base salary range that the Company believes it will pay for this position at the time of this posting based on the location and requirements of the position as well as the skills, qualifications, and experience of the applicant. The Firm reserves the right to modify this pay range at any time.

US Pay Range

$80,000-$100,000 USD

Inclusion, Work-Life Balance and Benefits at Man Group
You'll thrive in our working environment that champions equality of opportunity. Your unique perspective will contribute to our success, joining a workplace where inclusion is fundamental and deeply embedded in our culture and values. Through our external and internal initiatives, partnerships and programmes, you'll find opportunities to grow, develop your talents, and help foster an inclusive environment for all across our firm and industry. Learn more at www.man.com/diversity.

You'll have opportunities to make a difference through our charitable and global initiatives, while advancing your career through professional development, and with flexible working arrangements available too. Like all our people, you'll receive two annual 'Mankind' days of paid leave for community volunteering.

Our comprehensive benefits package includes competitive holiday entitlements, pension/401k, life and long-term disability coverage, group sick pay, enhanced parental leave and long-service leave. Depending on your location, you may also enjoy additional benefits such as private medical coverage, discounted gym membership options and pet insurance.

Similar Jobs

More Jobs at Man Group

  • Portfolio Risk Analyst
    $80K — $100K *
    Boston, MA 02115 (Suffolk County)
    Finance & Insurance
    In-Person
  • Research Analyst
    $85K — $100K *
    Boston, MA 02115 (Suffolk County)
    Finance & Insurance
    In-Person
  • Analyst
    $100K — $150K *
    New York, NY 10025 (New York County)
    Finance & Insurance
    In-Person

More Finance & Insurance Jobs

Find similar Portfolio Risk Analyst jobs: