A leading global investment management firm is looking for an Operational Risk Associate to join its risk management team. This team is vital to supporting the company's mission of safeguarding clients, employees, and assets while fostering a culture that prioritizes smart, informed decision-making.
Key Responsibilities
- Build and maintain a risk management framework to monitor, measure, and report operational risks in global fixed income investments.
- Research and apply best practices to improve risk management policies, processes, and guidelines for fixed income operations.
- Analyze data using advanced tools and technology to provide actionable insights to portfolio managers, traders, and senior leadership.
- Design and validate models used to assess and manage operational risks, ensuring they remain effective over time.
- Stay informed on market trends and financial developments to bring fresh perspectives to risk management strategies.
- Contribute to special projects and collaborate with cross-functional teams to drive continuous improvement.
What We're Looking For
- 3+ years of relevant work experience in fixed income, mutual fund management, risk, or auditing.
- A bachelor's degree is required; a graduate degree is preferred.
- Strong analytical thinking, relationship management communication skills, and adaptability.
- CFA or FRM (or progress toward certification) is a plus.