Risk Manager; Credit – Global Multi-Strategy Hedge Fund- TC
Listed on 2026-02-18
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Finance & Banking
Risk Manager/Analyst, Banking & Finance, Corporate Finance
Location: Greater London
A top performing, highly prestigious hedge fund is looking to expand its risk function in London, following years of exceptional performance.
They are a leading name on the equities space and have recently expanded their coverage to other asset classes, hiring a number of credit PMs. They are now looking to hire a Risk Manager to primarily cover this aspect of their business. The role sits with the investment team, offering daily interaction to leading PMs and traders. You will report directly to the CRO and will focus on design, implementation and execution of the portfolios’ risk management functions.
While this will focus primarily on their credit business, you will get the opportunity to cover their wider strategies as well.
This is a fantastic opportunity for a market risk professional with 5-10 years of experience to take a step up into a highly visible, broad role with exceptional growth potential. The ideal candidate will be from the buy-side, although strong candidates from sell-side will be considered. Knowledge of credit market and strong technical skills are preferred.
You would be joining highly reputable business with very low attrition. As well as offering an attractive, collaborative culture, the successful candidate will be among the best paid Risk professionals in the space – with a lucrative comp package of up to £250k.
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