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Quantitative Risk & Analytics ManagerSimmons & HanburyLondon, England, United Kingdom

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Quantitative Risk & Analytics Manager

Simmons & Hanbury
  • GB
    London, England, United Kingdom
  • GB
    London, England, United Kingdom

About

This range is provided by Simmons & Hanbury. Your actual pay will be based on your skills and experience — talk with your recruiter to learn more.
Base pay range We are partnering with a
well-capitalised investment organisation
to appoint a
Senior Quantitative Risk & Analytics Associate
into a growing team with close proximity to
markets, investment activity, and senior decision-makers .
This role is suited to candidates who enjoy
hands-on quantitative work , intellectual challenge, and working with models that are
actively used in portfolio and risk decision-making , rather than operating in a purely policy-driven or reporting capacity.
The Role The successful candidate will work across a broad set of
quantitative models and analytical frameworks
used within the investment and finance ecosystem of the firm. You will collaborate closely with stakeholders responsible for building and using these models, providing independent challenge, enhancement, and analytical insight.
There is significant scope to
shape tooling, standards, and analytical approaches , making this an excellent opportunity for someone looking to deepen their exposure to
investment products, markets, and portfolio-level risk .
Key Responsibilities
Review, assess, and challenge
quantitative models
used in investment and risk processes
Analyse model methodologies, assumptions, limitations, and performance
Build or enhance
Python-based analytical tools
to support model testing and quality assurance
Work closely with stakeholders to improve
documentation, controls, and analytical robustness
Support investigations into model-related issues and contribute to remediation efforts
Manage multiple analytical workstreams in a fast-moving environment
Requirements
Background in
quantitative analysis, risk analytics, or model development/validation
Good understanding of
financial markets and investment instruments
Comfortable explaining complex quantitative concepts to non-technical stakeholders
Naturally curious, analytical, and detail-oriented
Seniority level Mid-Senior level
Employment type Full-time
Job function Finance
Industries Financial Services, Investment Management, and Pension Funds
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  • London, England, United Kingdom

Languages

  • English
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