Senior Risk Strategist

Verition Group LLC

$150K — $200K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's or Master's degree in Finance, Economics, Mathematics, Statistics, Engineering, or a related field (advanced degree preferred)
  • 7-10 years of experience in risk analytics or quantitative research within financial institutions
  • Strong knowledge of financial markets and risk measurement techniques
  • Proficiency in programming languages such as Python or R for data analysis
  • Excellent communication and presentation skills

Responsibilities

  • Drive risk analytics and exposure reporting for internal and external stakeholders
  • Design and implement centralized analytics frameworks to manage risk
  • Partner with Risk Managers to create tailored monitoring and analytics
  • Explore innovative AI approaches to enhance risk monitoring
  • Communicate analytical insights to senior management for decision-making

Benefits

  • Comprehensive health and wellness programs
  • 401(k) plan with company matching
  • Flexible work arrangements
  • Professional development opportunities
  • Supportive team environment with a focus on collaboration
Full Job Description
We are seeking a Risk Strategist to join our Risk Management team. The Risk Strategist will be responsible for developing enterprise-level risk tools and analytics, driving risk and performance reporting across internal and external stakeholders, and working directly with Risk Managers across individual strategies to enhance the firm's risk management capabilities.

Key Responsibilities
• Drive risk analytics and exposure reporting for internal and external stakeholders, including counterparties, investors, and regulators
• Design, develop, and implement centralized analytics frameworks to monitor and manage risk across the firm's portfolio
• Partner with Risk Managers to develop monitoring and analytics catered to individual strategies
• Explore innovative approaches to risk monitoring, including use of AI
• Communicate insights to senior management to support decision-making

Qualifications:• Bachelor's or Master's degree in Finance, Economics, Mathematics, Statistics, Engineering, or a related field (advanced degree preferred).
• 7-10 years of experience in a risk, strategist, analytics, quantitative research or similar role at an investment manager, hedge fund, or other financial institution
• Strong knowledge of financial markets, instruments, and risk measurement
• Proficiency in programming languages (Python, R, or similar) and comfort dealing with financial data
• Strong communication and presentation skills

Salary Range

$150,000-$200,000 USD

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