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Senior Risk Manager | Family office | Global Role
Hong Kong$600,000 - $1,100,000 HKD a year

We are partnering with a highly active global trading business seeking a senior risk professional to join their Hong Kong leadership team. This is a rare opportunity for an experienced risk leader, or a strong Number Two ready for their first Head of Risk position, to help shape risk strategy across a fast-paced trading environment with internatio...

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Volatility Risk Analyst Cross-Asset
New York$175,000 - $200,000 USD a year

A leading multi-manager hedge fund is seeking a Volatility Risk Analyst to join its Global Risk Management organization in NYC. This individual will partner closely with Portfolio Managers, Traders, and Risk leadership to provide portfolio construction, hedging, risk management, and optimization advice on complex derivatives portfolios. This hire w...

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Head of Risk | Global Hedge fund | 2.5 Billion AUM
Hong Kong Island$720,000 - $1,050,000 HKD a year

We are partnering with a highly active global trading business seeking a senior risk professional to join their Hong Kong leadership team. This is a rare opportunity for an experienced risk leader, or a strong Number Two ready for their first Head of Risk position, to help shape risk strategy across a fast-paced trading environment with internation...

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Head of Risk | Global Hedge fund | 2.5 Billion AUM
Hong Kong Island$720,000 - $1,050,000 HKD a year

We are partnering with a highly active global trading business seeking a senior risk professional to join their Hong Kong leadership team. This is a rare opportunity for an experienced risk leader, or a strong Number Two ready for their first Head of Risk position, to help shape risk strategy across a fast-paced trading environment with internation...

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Quant Risk Analyst
South Florida$150,000 - $200,000 USD a year

We are partnering with a multi-strategy hedge fund to hire a Quantitative Risk Analyst. Reporting directly to the Chief Risk Officer, this is a high-impact role sitting at the center of the investment process, working closely with Portfolio Managers across fixed income relative value, long/short credit, convertible arbitrage, volatility, and equity...

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Senior Market Risk Manager (Credit Trading) Banking & Finance
SingaporeNegotiable

Responsibilities of Senior Market Risk Manager (Credit Trading) - Leading Financial Institution Provide independent market risk oversight for credit trading and capital markets activities.Monitor risk exposures across trading portfolios, ensuring adherence to internal risk appetite and governance frameworks.Partner closely with traders and busines...

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