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Market Risk Associate

ExperiencedNo visa sponsorship

Posted 4 days ago

No clicks

**Market Risk Associate** at Capula Investment Management: Monitor & analyze market risks across multi-asset portfolios. Responsibilities include daily risk analysis, P&L attribution, model development, stress testing, collaboration with trading teams, and regulatory reporting. Requires proficiency in-risk related software, Excel, Python/R, and experience in market risk or similar role within asset management.

Compensation
Not specified

Currency: Not specified

City
Not specified
Country
Not specified

Full Job Description

Description

The Firm

Capula Investment Management is a leading global quantitative hedge fund managing over $30 billion in assets, specializing in fixed income, macro, and multi-asset strategies. We operate across multiple geographies with a strong commitment to risk management and quantitative excellence.

The Role

We are seeking a Market Risk professional to join our dynamic risk team. In this role, you will be responsible for monitoring and analyzing market risks across the firms portfolios, ensuring robust measurement and management of risk exposures. You will work closely with traders, portfolio managers, and quantitative researchers to support risk reporting, stress testing, and risk mitigation initiatives.

Key Responsibilities

  • Perform daily market risk analysis and P&L attribution across multiple asset classes including fixed income, equities, and derivatives.
  • Develop and maintain risk models, tools, and dashboards to enhance risk visibility and decision-making.
  • Conduct stress testing, scenario analysis, and back-testing to assess portfolio risk under various market conditions.
  • Collaborate with trading, quant, and IT teams to improve risk systems and data quality.
  • Support regulatory and internal risk reporting requirements.

What We Offer

An opportunity to work in a fast-paced, intellectually stimulating environment with exposure to global financial markets and cutting-edge risk management practices. You will be part of a collaborative and highly skilled team committed to excellence and innovation.

Market Risk Associate

Compensation

Not specified

City: Not specified

Country: Not specified

Capula Investment Management logo
Hedge Funds

4 days ago

No clicks

at Capula Investment Management

ExperiencedNo visa sponsorship

**Market Risk Associate** at Capula Investment Management: Monitor & analyze market risks across multi-asset portfolios. Responsibilities include daily risk analysis, P&L attribution, model development, stress testing, collaboration with trading teams, and regulatory reporting. Requires proficiency in-risk related software, Excel, Python/R, and experience in market risk or similar role within asset management.

Full Job Description

Description

The Firm

Capula Investment Management is a leading global quantitative hedge fund managing over $30 billion in assets, specializing in fixed income, macro, and multi-asset strategies. We operate across multiple geographies with a strong commitment to risk management and quantitative excellence.

The Role

We are seeking a Market Risk professional to join our dynamic risk team. In this role, you will be responsible for monitoring and analyzing market risks across the firms portfolios, ensuring robust measurement and management of risk exposures. You will work closely with traders, portfolio managers, and quantitative researchers to support risk reporting, stress testing, and risk mitigation initiatives.

Key Responsibilities

  • Perform daily market risk analysis and P&L attribution across multiple asset classes including fixed income, equities, and derivatives.
  • Develop and maintain risk models, tools, and dashboards to enhance risk visibility and decision-making.
  • Conduct stress testing, scenario analysis, and back-testing to assess portfolio risk under various market conditions.
  • Collaborate with trading, quant, and IT teams to improve risk systems and data quality.
  • Support regulatory and internal risk reporting requirements.

What We Offer

An opportunity to work in a fast-paced, intellectually stimulating environment with exposure to global financial markets and cutting-edge risk management practices. You will be part of a collaborative and highly skilled team committed to excellence and innovation.