Investment Risk Analyst - Buyside
- 3-7 years of work-related work experience from the buyside, asset management firms, or top tier banks.
- Familiarity in corporate bonds, municipal bonds, government/sovereign bonds, bond ETFs, rates and FX derivatives, or some credit derivatives
- Bachelor's degree in Mathematics, Statistics, Engineering, Quantitative Finance, or related fields
- Professional Certification or progress towards a CFA and/or FRM is preferred
FAQs
Congratulations, we understand that taking the time to apply is a big step. When you apply, your details go directly to the consultant who is sourcing talent. Due to demand, we may not get back to all applicants that have applied. However, we always keep your resume and details on file so when we see similar roles or see skillsets that drive growth in organizations, we will always reach out to discuss opportunities.
Yes. Even if this role isn’t a perfect match, applying allows us to understand your expertise and ambitions, ensuring you're on our radar for the right opportunity when it arises.
We also work in several ways, firstly we advertise our roles available on our site, however, often due to confidentiality we may not post all. We also work with clients who are more focused on skills and understanding what is required to future-proof their business.
That's why we recommend registering your resume so you can be considered for roles that have yet to be created.
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