Senior Analyst, Investment Risk

Selby Jennings Ltd

  • Boston, MA
  • 2 days ago
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    Skills

    • Analysis Skillsunmatched
    • Asset Managementunmatched
    • Communication Skillsunmatched
    • Computational Engineeringunmatched
    • Constructionunmatched
    • Decision Supportunmatched
    • Economicsunmatched
    • Financeunmatched
    • Financial Analysisunmatched
    • Fixed Income Investmentsunmatched
    • Investment Analysisunmatched
    • Investment Managementunmatched
    • Investment Strategyunmatched
    • Leadershipunmatched
    • Market Trackingunmatched
    • Market Trend Analysisunmatched
    • Mathematicsunmatched
    • Microsoft Visual Basic for Applications (VBA)unmatched
    • Portfolio Analysisunmatched
    • Programming Toolsunmatched
    • Python Programming/Scripting Languageunmatched
    • Real Estateunmatched
    • Riskunmatched
    • Risk Analysisunmatched
    • Risk Managementunmatched
    • Risk Modelingunmatched
    • SQL (Structured Query Language)unmatched

    Description

    A leading global investment platform managing over $100B in assets is looking to add a Senior Analyst to its growing Investment Risk team. This individual will play a key role in providing portfolio risk oversight across a diverse investment platform with a particular focus on Private Credit, Private Investments, and Alternative Assets, while partnering directly with portfolio managers, investment teams, and senior stakeholders.

    The ideal candidate will have 3-6 years of experience within an asset management or investment firm, with exposure to a broad range of investment products, preferably a focus in Private Credit. They will have a strong foundation in investment risk management and portfolio analytics, with a clear understanding of risk drivers.

    Responsibilities:

    • Provide independent risk oversight and analysis across portfolios with a focus on Private Credit, Private Investments, Alternative Assets, Real Estate, Infrastructure, and other non-traditional investment strategies, while maintaining exposure across the broader multi-asset platform.
    • Partner closely with portfolio managers and investment professionals to evaluate portfolio construction, concentrations, stress scenarios, and emerging risks across private and public market investments.
    • Enhance and develop risk models, analytics, monitoring tools, and reporting frameworks that support investment decision-making and firmwide risk management.
    • Monitor market developments, macroeconomic trends, and evolving risk factors while providing actionable insights to investment teams.
    • Produce portfolio risk reporting and conduct ad hoc analysis to support strategic investment decisions across investment portfolios.

    Qualifications:

    • 3-6 years of experience in Investment Risk, Market Risk, Portfolio Risk, or a related risk management function covering Private Credit, Alternative Investments, Private Markets, or Multi-Asset portfolios.
    • Strong understanding of portfolio risk analytics across private investments, alternative assets, fixed income, and other major asset classes.
    • Experience with Python, SQL, VBA, Excel, or similar analytical and programming tools.
    • Ability to communicate complex risk concepts to portfolio managers, investment teams, and senior leadership.
    • Degree in Finance, Economics, Mathematics, Engineering, Computational Finance, or another quantitative discipline; advanced degrees and professional certifications are viewed favorably.

    Numbers & Facts

    LocationBoston, MA

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