An alternative investment firm focused on innovative quantitative and discretionary investment solutions.
Asset Management • Alternatives • Trend Following • Global Macro • Multi-Strategy
August 23
🏢 In-office - Los Angeles
An alternative investment firm focused on innovative quantitative and discretionary investment solutions.
Asset Management • Alternatives • Trend Following • Global Macro • Multi-Strategy
• Monitor markets and risk measures to ensure funds operate within intended risk limits • Prepare materials used by the Chief Risk Officer for firm management and investors • Build an extensive knowledge base of products within fixed income, commodities, FX, and equity indices spaces
• A background in risk management or finance/economics • 1-3 years of practical work experience, not necessarily in risk management • A keen interest in learning about securities markets and how portfolio managers use them to express trade ideas • A commitment to the highest ethical standards • Strong written and verbal communication skills to inform managers and other stakeholders of results • Proficiency in Microsoft Excel is required
Apply Now