
Our Risk Practice specialises in delivering the best of breed Risk Management Professionals globally across both buy and sell side financial institutions.
We understand the significant importance and emphasis that Risk Management plays in our current economic climate, which is why we are committed to delivering the industry's most talented Risk Professionals globally.
The Risk team specialises in providing our clients, primarily Asset Managers, Hedge Funds & Investment Banks, with the best global risk candidates from Analyst to Board level.
The Risk Practice's key areas of specialism are:
- Portfolio Risk Management
- Quantitative Risk Management
- Market Risk Management
- Performance Measurement & Attribution
- Credit Risk Management & Counterparty Risk Analysis
Within the above risk areas, the types of mandates we deliver to are:
- Global Head of Investment & Market Risk
- Global Head of Quantitative Risk Management
- Head of Market Risk Analytics
- Quantitative Risk Managers/Analysts
- Risk Researchers
- Portfolio Construction Risk Analysts
- Investment Risk Analysts
- Quantitative Counterparty Risk Analysts
- Performance Analysts
- Investment Operations Analysts
Our extensive understanding of the risk management market, coupled with long-standing client relationships and our ability to continually deliver the best global passive risk management professionals, ensures that we are unrivalled in this complex and intricate market.
View all Risk vacancies »