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Hedge Fund Credit Analyst | Equity Finance Credit Risk Management

ExperiencedNo visa sponsorship
Macquarie logo

at Macquarie

Investment Banking

Posted 13 days ago

No clicks

**Hedge Fund Credit Analyst | Equity Finance Credit Risk Management - 23284** - **Key Responsibilities:** Monitor and report credit risks, perform credit analyses, engage with clients and stakeholders, support credit risk strategy implementation. - **Required Skills:** 3+ years in credit risk, strong analytical skills, Python coding, knowledge of equity swap products, understanding of credit risk regulatory frameworks, excellent communication. - **Experience:** Mid-level, permanent - full-time role. - **Technologies & Tools:** Python. - **Domain:** Risk Management, Hedge Fund, Equity Finance, Credit Risk. - **Location:** Sydney.

Compensation
Not specified

Currency: Not specified

City
Sydney
Country
Australia

Full Job Description

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Hedge Fund Credit Analyst | Equity Finance Credit Risk Management

Additional office locations
Sydney
Job ID
23284
Date
21-Jul-2026
Permanent - Full time, Mid-level
Job category
Risk Management
Apply now
Share
  • Email
Join our Equity Finance team within Commodities and Global Markets as a Hedge Fund Credit Analyst. The Equity Finance business provides clients with synthetic equities exposure, financing solutions and securities borrow and lending services across the major global equity markets.

While Macquarie offers hybrid working for many of our roles, this role does require 5 days a week in our office location. 

We are a global financial services group operating in 30 markets with 57 years of unbroken profitability. At Macquarie, youre empowered to shape a career that is fulfilling and creates value. You will bring your insights and expertise to the task at hand and feel supported as you make your own kind of impact for a better future.

What role will you play?

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You will contribute to a sophisticated credit risk management function within Equity Finance to safeguard and support the growth of the synthetic equity and securities financing business. You will help implement the credit risk strategy within a high-performing team.

You will be responsible for monitoring and reporting credit risk exposures and margin adequacy across client portfolios and performing detailed credit analyses, assessing and mitigating credit risks associated primarily with our hedge fund clients. You will engage with external clients and counterparties, including senior contacts such as CIOs, COOs and Heads of Risk.

You will work closely with our Credit Risk team to support recommendations for onboarding, credit limits and margining agreements as well as act as a key point of contact for credit related matters with clients, counterparties and internal stakeholders.

What you offer

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  • 3+ years experience in a credit or market risk role, including exposure to the hedge fund client business and knowledge of equity swap and SFT products.
  • Strong analytical skills in credit risk modelling, stress testing and scenario analysis.
  • Python (or similar) coding skills to develop reporting and analytics.
  • Familiarity with industry best credit practices across hedge fund reporting, margining and portfolio monitoring.
  • Understanding of credit risk regulatory frameworks.
  • Excellent communication skills for effective engagement with clients and internal stakeholders.


We love hearing from anyone inspired to build a better future with us, if you're excited about the role or working at Macquarie we encourage you to apply.

What we offer

Press space or enter keys to toggle section visibility

At Macquarie, youre empowered to shape a career thats rewarding in all the ways that matter most to you. Macquarie employees can access a wide range of benefits which, depending on employment type, include:

  • 1 wellbeing leave day per year
  • Up to 5 additional service bonus leave days per year
  • Up to 20 weeks paid parental leave for primary caregivers along with 12 days of transition leave upon return to work, and 6 weeks paid leave for non-primary caregivers
  • 2 days of paid volunteer leave and donation matching
  • Up to 12 months gender affirmation leave, including 6 weeks paid leave
  • Access to Employee Assistance Program and wellbeing benefits including skin and health checks, and flu vaccinations
  • Access to a wide range of salary packaging options
  • Access to a wide range of learning and development opportunities, including reimbursement for professional membership or subscription
  • Hybrid and flexible working arrangements, dependent on role
  • Reimbursement for work from home equipment

About Commodities and Global Markets

Press space or enter keys to toggle section visibility

Commodities and Global Markets is a global business offering capital and financing, risk management, market access, physical execution and logistics solutions to its diverse client base across Commodities, Financial Markets and Asset Finance.

Inclusion at Macquarie

Press space or enter keys to toggle section visibility

We are committed to providing an inclusive environment for all, where different experiences, skills and perspectives are valued and respected. Macquarie provides access to opportunities for all individuals regardless of race, colour, religion, sex, sexual orientation, national origin, age, disability, protected veteran status, genetic information, marital status, gender identity or any other characteristic or circumstance. 


We provide reasonable adjustments to individuals who may need support during the recruitment process and employment. If you require an adjustment, please let us know during the application process.

Hedge Fund Credit Analyst | Equity Finance Credit Risk Management

Compensation

Not specified

City: Sydney

Country: Australia

Macquarie logo
Investment Banking

13 days ago

No clicks

at Macquarie

ExperiencedNo visa sponsorship

**Hedge Fund Credit Analyst | Equity Finance Credit Risk Management - 23284** - **Key Responsibilities:** Monitor and report credit risks, perform credit analyses, engage with clients and stakeholders, support credit risk strategy implementation. - **Required Skills:** 3+ years in credit risk, strong analytical skills, Python coding, knowledge of equity swap products, understanding of credit risk regulatory frameworks, excellent communication. - **Experience:** Mid-level, permanent - full-time role. - **Technologies & Tools:** Python. - **Domain:** Risk Management, Hedge Fund, Equity Finance, Credit Risk. - **Location:** Sydney.

Full Job Description

  • Jobs

  • Featured jobs

  • Back to search

Hedge Fund Credit Analyst | Equity Finance Credit Risk Management

Additional office locations
Sydney
Job ID
23284
Date
21-Jul-2026
Permanent - Full time, Mid-level
Job category
Risk Management
Apply now
Share
  • Email
Join our Equity Finance team within Commodities and Global Markets as a Hedge Fund Credit Analyst. The Equity Finance business provides clients with synthetic equities exposure, financing solutions and securities borrow and lending services across the major global equity markets.

While Macquarie offers hybrid working for many of our roles, this role does require 5 days a week in our office location. 

We are a global financial services group operating in 30 markets with 57 years of unbroken profitability. At Macquarie, youre empowered to shape a career that is fulfilling and creates value. You will bring your insights and expertise to the task at hand and feel supported as you make your own kind of impact for a better future.

What role will you play?

Press space or enter keys to toggle section visibility

You will contribute to a sophisticated credit risk management function within Equity Finance to safeguard and support the growth of the synthetic equity and securities financing business. You will help implement the credit risk strategy within a high-performing team.

You will be responsible for monitoring and reporting credit risk exposures and margin adequacy across client portfolios and performing detailed credit analyses, assessing and mitigating credit risks associated primarily with our hedge fund clients. You will engage with external clients and counterparties, including senior contacts such as CIOs, COOs and Heads of Risk.

You will work closely with our Credit Risk team to support recommendations for onboarding, credit limits and margining agreements as well as act as a key point of contact for credit related matters with clients, counterparties and internal stakeholders.

What you offer

Press space or enter keys to toggle section visibility

  • 3+ years experience in a credit or market risk role, including exposure to the hedge fund client business and knowledge of equity swap and SFT products.
  • Strong analytical skills in credit risk modelling, stress testing and scenario analysis.
  • Python (or similar) coding skills to develop reporting and analytics.
  • Familiarity with industry best credit practices across hedge fund reporting, margining and portfolio monitoring.
  • Understanding of credit risk regulatory frameworks.
  • Excellent communication skills for effective engagement with clients and internal stakeholders.


We love hearing from anyone inspired to build a better future with us, if you're excited about the role or working at Macquarie we encourage you to apply.

What we offer

Press space or enter keys to toggle section visibility

At Macquarie, youre empowered to shape a career thats rewarding in all the ways that matter most to you. Macquarie employees can access a wide range of benefits which, depending on employment type, include:

  • 1 wellbeing leave day per year
  • Up to 5 additional service bonus leave days per year
  • Up to 20 weeks paid parental leave for primary caregivers along with 12 days of transition leave upon return to work, and 6 weeks paid leave for non-primary caregivers
  • 2 days of paid volunteer leave and donation matching
  • Up to 12 months gender affirmation leave, including 6 weeks paid leave
  • Access to Employee Assistance Program and wellbeing benefits including skin and health checks, and flu vaccinations
  • Access to a wide range of salary packaging options
  • Access to a wide range of learning and development opportunities, including reimbursement for professional membership or subscription
  • Hybrid and flexible working arrangements, dependent on role
  • Reimbursement for work from home equipment

About Commodities and Global Markets

Press space or enter keys to toggle section visibility

Commodities and Global Markets is a global business offering capital and financing, risk management, market access, physical execution and logistics solutions to its diverse client base across Commodities, Financial Markets and Asset Finance.

Inclusion at Macquarie

Press space or enter keys to toggle section visibility

We are committed to providing an inclusive environment for all, where different experiences, skills and perspectives are valued and respected. Macquarie provides access to opportunities for all individuals regardless of race, colour, religion, sex, sexual orientation, national origin, age, disability, protected veteran status, genetic information, marital status, gender identity or any other characteristic or circumstance. 


We provide reasonable adjustments to individuals who may need support during the recruitment process and employment. If you require an adjustment, please let us know during the application process.