Alternatives Risk Manager

Cantor Fitzgerald/BGCNew York, NY
3h

About The Position

The Alternatives Risk Manager will be responsible for independent oversight of investment fund portfolios, modeling, and global reporting. This role is integral to our risk management strategy, working closely with portfolio managers and other experts. The successful candidate will have a strong background in market risk, ideally within the hedge fund or alternative asset management industry, and a solid understanding of various financial instruments.

Requirements

  • strong background in market risk
  • solid understanding of various financial instruments

Nice To Haves

  • ideally within the hedge fund or alternative asset management industry
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