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Risk and Liquidity Manager – Investment Management Team

Job in Weehawken, Hudson County, New Jersey, 07086, USA
Listing for: RiseMe
Full Time position
Listed on 2026-09-27
Job specializations:
  • Finance & Banking
    Portfolio & Asset Management, Risk Manager/Analyst
Salary/Wage Range or Industry Benchmark: 90000 - 120000 USD Yearly USD 90000.00 120000.00 YEAR
Job Description & How to Apply Below

Key responsibilities

The Risk and Liquidity Manager is a critical member of the House View and OCIO teams, supporting investment risk and liquidity management across diversified, multi-asset class portfolios. The House View portfolios are the core offerings to wealth management clients, while the OCIO portfolios serve a sophisticated institutional client base, including endowments, foundations, retirement plans, and ultra-high-net-worth families. This role will contribute to the firm’s risk governance framework by preparing analysis, monitoring portfolio risks, supporting liquidity assessments, and helping deliver clear insights to portfolio managers and internal stakeholders.

  • Support the identification, measurement, and monitoring of portfolio and aggregate client risk exposures, including market, credit, factor, interest rate, inflation, and currency risks.
  • Assist in developing and maintaining liquidity projections and stress testing across portfolios, incorporating both public and private market exposures.
  • Support the selection, implementation, setup, testing, and ongoing use of risk and analytics systems.
  • Maintain risk analytics, dashboards, and reporting tools for use by House View portfolio managers, OCIO leadership, and client stakeholders.
  • Conduct scenario analysis, value-at-risk (VaR), and tail-risk assessments using internal and third-party risk systems, with guidance from senior team members.
  • Monitor redemption terms, lockups, and gating risks of underlying fund investments to ensure alignment with client liquidity needs and spending policies.
  • Build and update liquidity models based on client and institutional spending needs, and portfolio liquidity availability.
  • Prepare risk and liquidity analysis to support client meetings, new client onboarding, and internal portfolio reviews.
  • Collaborate with investment and compliance teams to support risk policies, investment guidelines, portfolio construction parameters, and data quality.
  • Prepare and present risk reports to internal investment committees, audit and compliance teams, and client boards as needed.
  • Partner with technology, operations, and analytics teams to enhance risk reporting platforms, data pipelines, and ensure data integrity.
  • Stay current on industry best practices, regulatory developments, and emerging risks relevant to institutional portfolios.
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The team

You’ll be part of the OCIO team and the House View Portfolio Management team, working across two specialized portfolio management groups within Global Wealth Management, based in Weehawken. These teams help deliver discretionary portfolio management to institutional and private clients—including endowments, foundations, and family offices—while also supporting the design and delivery of UBS’s fully discretionary House View portfolios for institutional and US retail clients.

Both teams collaborate closely with Financial Advisors, the OCIO Team, Portfolio Advisory Group, internal product and operations teams, and stakeholders across Wealth Management to drive business and product initiatives for the UBS CIO organization. Responsibilities of the teams include contributing to portfolio construction, implementation, and oversight for discretionary mandates, ensuring alignment with CIO strategy, and supporting continuous improvement of House View offerings.

Success in this role requires strong investment knowledge, the ability to manage competing priorities across teams, and excellent communication and stakeholder management skills.

Your skills and experience
  • Ideally 3–7 years of experience in investment risk, portfolio analytics, liquidity analysis, portfolio management…
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