Hedge Fund Credit Risk Manager

  • £65,000 + Competitive bonus and package
  • London, England, United Kingdom London England GB
  • Permanent, Full time
  • Aston Carter Ltd
  • 16 Jun 18 2018-06-16

An position to impact a growing team, in a Tier 1 international bank within their credit sanctioning hedge fund credit risk analysis team to help drive new clients onboarding and operate best practice across the portfolio.

Job Description: An opportunity for an experience Risk manager within a Hedge fund Sanctioning team to deliver key analysis to the head of Hedge fund risk while formulating an innovative risk appetite and set limits to a new and diversifying portfolio. Experience Required: Quantitative and qualitative credit analysis of counterparty credit risk, quality and exposure. Solid Hedge fund credit risk experience ideally at a Bank of major investment organisation Market and Credit risk margin methodologies Setting of risk frameworks and limits. Strong due diligence and reporting. VBA/SQL Legal Documentation experience: ISDA, GMRA, PBA, LDA etc. Application: If you think this opportunity could be a good fit, please forward a copy of your CV to CJarvis@astoncarter.com or call on 02075327964 for a discreet conversation