Risk Manager at Schonfeld - ScoutJobs - The AI-curated global job board
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Schonfeld
Posted 3 days ago

Risk Manager

SchonfeldRisk Manager

Requirements

5-10 years risk management experience, Focus on convertible bonds, Proficiency in risk management tools, Python expertise preferred, Bachelor's degree in Finance, Economics, or related field

Skills

risk managementPython

About the role

Responsibilities

  • Conduct comprehensive risk assessments for convertible bonds to identify potential risks and develop mitigation strategies
  • Develop and implement risk management frameworks and strategies to manage and mitigate risks associated with credit products
  • Monitor risk exposures and market conditions, providing regular reports and updates to senior management and stakeholders
  • Collaborate closely with cross-functional teams, including trading and portfolio management, to integrate risk management practices into business operations
  • Utilize quantitative and qualitative data analysis to support risk management decisions and strategy development

Requirements

  • 5-10 years of experience in risk management, specifically with a focus on convertible bonds
  • Strong analytical skills and proficiency in risk management tools and software
  • In-depth knowledge of the convertibles market
  • Excellent communication and interpersonal skills with the ability to present complex information clearly
  • Bachelor's degree in Finance, Economics, or a related field

Preferred Qualifications

  • Expertise in Python
  • Advanced degree or professional certification such as CFA or FRM

Benefits

  • Competitive base pay range between $175,000 and $275,000
  • Eligibility for performance-based bonuses
  • Comprehensive benefits package
  • Opportunities for continuous learning and professional development

About the Company

Schonfeld is a global multi-manager hedge fund that strives to deliver industry-leading risk-adjusted returns for our investors. We leverage both internal and external portfolio manager teams around the world, seeking to capitalize on inefficiencies and opportunities within the markets. We invest across four main strategies: Quant, Tactical, Fundamental Equity, and Discretionary Macro & Fixed Income.

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Risk Manager

Schonfeld · New York

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