A globally recognized quantitative Proprietary Trading Firm is seeking a Senior Risk Manager to join its front office-facing risk team. This individual will work directly with traders, quantitative researchers, and technology teams to oversee risk across a sophisticated Delta One trading business.
Risk managers are viewed as business partners rather than a traditional control function, providing direct exposure to traders, researchers, and senior leadership. As a result, candidates must possess strong communication skills and excellent market knowledge. The hiring team is seeking an individual with extensive experience in Delta One products who is eager to join a highly dynamic team and contribute meaningfully to the business.
Key Responsibilities
Partner closely with trading desks to monitor and manage market, liquidity, and portfolio risks.
Evaluate new trading strategies, products, and markets, providing risk analysis and recommendations.
Develop and enhance risk analytics, stress-testing frameworks, and reporting tools.
Utilize Python and quantitative methods to improve risk processes and infrastructure.
Collaborate with senior stakeholders across trading, quantitative research, and technology.
Requirement
5+ years of experience in Market Risk, Quantitative Risk, or Front Office Risk Management at a top tier investment bank or market maker
Experience covering equities, ETFs, futures, or other exchange-traded products
Strong understanding of Delta One products and related risk factors.
Advanced Python skills and a quantitative mindset.
- Ability to communicate effectively in a fast-paced trading environment.

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