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    Investment Risk Manager - Rates

    City of LondonPermanentCompetitive
    Back to job search
    2 hours ago
    JN -042026-1999781
    New

    Investment Risk Manager - Rates

    City of London Permanent Competitive

    Investment Risk Manager - Rates

    About the job

    The Risk Team is made up of Risk Managers and Analysts based in London. The team is responsible for oversight and risk management of the Funds positions and work closely with other departments including Risk Quants, Technology and Product Control.

    Role overview: London based Risk Manager to support its Global Rates Trading Business.

    Responsibilities include:

    • Overseeing Portfolio Managers within the Rates Trading business.
    • A key part of the role is to monitor and interact with Portfolio Managers, to ensure trading adheres to their mandate in terms of sizing and appropriateness.
    • Help monitor, produce and design risk reports across various levels (e.g. Individual Portfolios, Desk, Fund level)
    • Perform detailed analysis on risk/pnl drivers using the firm's internal systems and data.
    • A key part of the role is to monitor and interact with Portfolio Managers, to ensure trading adheres to their mandate in terms of sizing and appropriateness.
    • Be able to provide an independent assessment of a PM's portfolio, and present findings clearly to Management.
    • The candidate is expected to be proactive in the development of risk tools by working with Technology & Quant teams.
    • Mentor junior team members.

    Experience required:

    • Significant relevant experience gained in IB or buy side within Risk or Sales/Trading
    • Strong knowledge and deep experience in Rates or Credit Markets.
    • Modelling Knowledge (Fixed Income Products, Pricing, VaR)
    • Technology/Programming skills (Python/ SQL/VBA) are desirable.
    • Excellent analytical skills, along with the ability to communicate and present complex information effectively

    About you:

    • Strong interpersonal skills to be able to build relationships with PMs whilst also having the authority to question and challenge them regarding portfolio risk and construction.
    • Ability to collaborate and work across global offices and teams.

    © 2026 Morgan McKinley
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