Intermediate (2-5 years of experience)
Summary of the Role
As an Investment Risk Analyst, you will monitor and analyze risks within the investment portfolios to make sure that the risks taken align with the firm's strategies. This role involves quantitative risk assessment, developing risk models, and communicating findings to the management team and stakeholders.
Required Skills
Strong analytical and quantitative skills.
Proficiency with statistical analysis and risk management software.
Excellent communication and presentation skills.
Ability to work under tight deadlines and manage multiple projects.
Knowledge of financial markets and investment products.
Qualifications
Bachelor's degree in Finance, Economics, Statistics, Mathematics, or related field.
2-5 years of relevant experience in risk management or investment analytics.
Knowledge of various types of investment risks and risk assessment methodologies.
Experience with statistical software packages and risk assessment tools.
Certifications such as FRM or CFA are advantageous.
Responsibilities
Perform statistical analysis to evaluate risk and return profiles of investment portfolios.
Monitor and report on market changes that might affect the risk levels of the portfolios.
Develop and improve risk models used for risk assessment and reporting.
Collaborate with portfolio managers to understand investment strategies and ensure risk parameters are adhered to.
Present risk reports and findings to senior management and other stakeholders.
Ensure compliance with both internal and external regulatory requirements.
Research and implement best practices in risk management.