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Senior Risk Manager (Financial Risk

Job in Greater London, London, Greater London, W1B, England, UK
Listing for: Janus Henderson Global Investors
Full Time position
Listed on 2026-07-30
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Financial Compliance
Salary/Wage Range or Industry Benchmark: 90000 - 130000 GBP Yearly GBP 90000.00 130000.00 YEAR
Job Description & How to Apply Below
Position: Senior Risk Manager (Financial Risk)
Location: Greater London

Why work for us?

A career at Janus Henderson is more than a job, it’s about investing in a brighter future together.

Our Mission at Janus Henderson is to help clients define and achieve superior financial outcomes through differentiated insights, disciplined investments, and world-class service. We will do this by protecting and growing our core business, amplifying our strengths and diversifying where we have the right.

Our Values are key to driving our success, and are at the heart of everything we do:

Clients Come First - Always | Execution Supersedes Intention | Together We Win | Diversity Improves Results | Truth Builds Trust

If our mission, values, and purpose align with your own, we would love to hear from you!

Your opportunity

You will be responsible for helping the Financial Risk team to develop and deliver the risk oversight required to support the business in mitigating the risks associated with market risk oversight, liquidity risk, and counter party risk, with a particular focus on Europe.

You will:
Market Risk Oversight
  • Provide expertise to the development of the existing Market Risk oversight framework that supports both global requirements as well as region or jurisdiction-specific regulations. This includes both working with, and providing challenge to, the front office investment risk team and fund managers,

  • Advise on best practice and technical standards for market risk methodologies, including VaR modelling, leverage, and stress testing,

  • Ensure that the Market Risk oversight activities satisfy all relevant regional regulatory requirements, including UCITS and AIFMD monitoring and reporting,

  • Support the Financial Risk team efforts in modelling complex derivatives for market risk monitoring purposes,

  • Support and develop the Financial Risk team’s responsibilities in respect to the Side by Side Risk framework and Risk vs Fees initiative,

  • Provide expertise in the ICARA stress testing process and support the Financial Risk team in providing the appropriate analysis.

Liquidity Risk Management
  • Provide expertise in liquidity risk management good practice in the context of UCITS and other European regulations,

  • Partner with the rest of the Financial Risk team to develop and support a firmwide Liquidity Risk Management framework that meets both firm-wide and regulator specific requirements including policy and related procedures for identifying, assessing, monitoring, and reporting on liquidity risk,

  • Support and develop the Financial Risk team’s responsibilities in respect to the Capacity framework.

Counter party Risk Management
  • Provide expertise to help with Financial Risk team’s efforts in developing and supporting a global counter party risk program and policy, and related procedures for identifying, assessing, monitoring and reporting on counter party risk.

ESG Risk Management
  • Provide expertise to help with Financial Risk team’s efforts in developing and supporting the global ESG risk program and policy, and related procedures for identifying, assessing, monitoring, and reporting on ESG risk.

Other Responsibilities
  • Provide challenge and escalat risk issues appropriately,

  • Provide support and development opportunities to junior team members,

  • Represent Financial Risk to clients, fund boards and internal committees, as required,

  • Develop and produce quarterly, or more frequently as needed, management information and metrics for Board reporting, senior management, and internal oversight committees,

  • Carry out additional duties as assigned.

What to expect when you join our firm
  • Hybrid working and reasonable accommodations
  • Generous Holiday policies
  • Excellent Health and Wellbeing benefits including corporate membership to Wellhub
  • Paid volunteer time to step away from your desk and into the community
  • Support to grow through professional development courses, tuition/qualification reimbursement and more
  • Maternal/paternal leave benefits and family services
  • All employee events including networking opportunities and social activities
  • Lunch allowance for use within our subsidized onsite canteen
Must have skills
  • Significant relevant experience in market risk management, credit or counter party management, and liquidity risk management,
  • Str…
Position Requirements
10+ Years work experience
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