
Risk, Hedge Fund Credit Risk, Associate, London
- London
- Permanent
- Full-time
- Assessing the financial strength of counterparties through counterparty due diligence, financial analysis, and market analysis; and summarizing your views to formulate risk rating recommendations.
- Setting credit exposure appetite across trading products utilizing internal exposure methodologies.
- Developing a good high level working knowledge of methods used to model and monitor credit risk across various products. Leveraging the knowledge to assess transaction and portfolio-level risk of counterparties.
- Work in collaboration with other divisions (such as Sales, Trading, Legal, Client Onboarding).
- Analysing potential exposure and approving collateral levels.
- Taking a broad view of risks and escalating material issues to seniors.
- Involvement in multiple projects (with strong cooperation with other teams and divisions, as well as regions);
- Active engagement in the negotiation of trading documentation to ensure adequate risk mitigants are in place.
- 3 years+ Credit risk management experience
- Strong knowledge of financial markets
- Understanding of various derivatives
- Familiarity with macroeconomics and the latest global trends
- Interest in Fund industry
- Interest in Corporate or Banking industry would be an asset
- Python experience would be an asset
- Good knowledge of Microsoft Excel, and PowerPoint
- Ability to perform under pressure
- Intellectual curiosity and self-motivation
- Fluent English is a must (additional language would be an asset)
- Strong interest in client interaction and relationship management.