We are one of the largest asset managers in the world facing many challenging valuation and pricing anomalies. We intend to hire 30 new risk analysts during the next 6 months to address many of these credit and market irregularities.
These individuals will be in charge of assessing assets including cash management, asset liability management, and credit exposures. A strong quantitative financial background is required. Also required is MS or MBA in a financial discipline, ability to assess risk/rewards of multiple alternative strategies, and ability to influence decision makers in front office as well as firm management at the board level.