Asset Manager - Risk Analyst
: Job Details :


Asset Manager - Risk Analyst

Russell Tobin

Location: All cities,NY, USA

Date: 2024-05-02T16:18:03Z

Job Description:

Our Client's Structured Margin Finance (SMF) division seeks an asset manager/risk analyst for its New York-based portfolio management group. The role involves overseeing portfolio data, generating reports, and assisting in risk analysis and presentations. The ideal candidate should possess 3-5 years of experience, preferably in fixed income, risk, asset management, or structured products, with exposure to securitized products and/or leveraged loans. Excel proficiency is crucial, and while coding experience isn't required, strong quantitative skills are essential. The role emphasizes data management, analytics, and communication with various stakeholders. Candidates should exhibit a strong work ethic, attention to detail, and a proactive, team-oriented approach.

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