The Liquidity Risk function plays a critical role in providing independent oversight of the firm’s Short-Term investment business by delivering rigorous portfolio analytics and actionable risk insights. The team ensures that portfolio risks align with investment objectives, client expectations, and industry standards, with a strong focus on liquidity, market, and concentration risks. Working closely with portfolio managers and senior stakeholders, the group combines deep technical expertise with sound judgment to identify key drivers of risk, distinguish long-term structural exposures from short-term market movements, and continuously enhance the firm’s risk framework and analytical capabilities, including the implementation of advanced risk systems such as Aladdin. You will identify and assess key risks and trends by conducting in-depth risk analysis across issuers, market and credit sensitivities. You will translate complex quantitative outputs into concise insights and messages to communicate with portfolio managers and senior executives. You will apply advanced analytical methods, including AI and visualization, to improve the efficiency, consistency, and insightfulness of risk monitoring. You will stay abreast of industry trends, market developments and emerging risk themes to proactively identify potential vulnerabilities and strengthen the risk oversight function. You will help lead the team’s transition to Aladdin, including analytics validation, model comparison, interpretation of outputs, and dashboard enhancements.
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Job Type
Full-time
Career Level
Mid Level