Schonfeld
Risk Manager, Cross Asset Derivatives
Job Description
Overview
We are seeking an exceptionally talented individual to join our Cross-Asset Derivatives Risk Management team as a Risk Manager. This role will focus on risk management and portfolio oversight of the firm’s Equity Derivatives, Macro EM and Delta One strategies, which include Equity vol, Fixed Income, Index Rebalance & Special situations strategies amongst others.
What You’ll Do
As a Risk Manager, you will:
- Report to the Head of Cross-Asset Derivatives Risk and partner daily with Portfolio Managers, Strats, and developers to monitor portfolios and design solutions that reduce concentration and stress risks.
- Build, implement and validate models that power both risk management and the investment process.
- Partner with our Technology organisation to enhance data infrastructure, automate risk-limit monitoring and streamline raw-data ingestion.
- Work with Portfolio Managers, providing regular and ad-hoc analy...