Vice President/Investment Risk Manager
Company | AllianceBernstein |
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Location | Nashville, TN, USA |
Salary | $Not Provided – $Not Provided |
Type | Full-Time |
Degrees | Master’s |
Experience Level | Senior |
Requirements
- CFA, FRM, and/or Master’s Degree highly desirable.
- 5+ years relevant work experience in investment management and risk management, preferably on the buy-side.
- Deep knowledge of financial markets and market structure, including Equity, Fixed Income, Multi-Asset, Derivatives, and Private Markets.
- Experience with risk systems such as Bloomberg PORT, Aladdin and/or MSCI/Barra.
- Familiarity with US and European regulatory framework for registered funds.
- Proficiency in SQL and Python preferred, basic knowledge of database structure and querying, demonstrated ability to mine large datasets for analytical insights.
- Excellent attention to detail and organization skills.
- Proactive self-starter with a collaborative approach to problem solving.
- Strong ability to multi-task and to work under pressure with tight timelines.
- Proven leadership experience, with ability to drive outcomes.
Responsibilities
- Deliver independent portfolio oversight, risk measurement, monitoring, analytics and advice.
- Leverage various risk models and analysis platform to perform in-depth analysis of portfolios or strategies, and support, assist and challenge portfolio management.
- Use a variety of analytical resources to develop new and enhance existing risk-return analysis, including risk monitoring, interpreting performance attribution, multi-factor risk models, benchmarking and scenario analysis.
- Ability to think critically about broad range of potential investment risks, gathers relevant data and information systematically, can translate complexities and perceives relationships amongst data and trends.
- Keeps abreast of current financial markets, securities and investment themes to bring an informed perspective to the risk management processes.
- Develop a deep understanding of AB’s investment management services and functional areas to keep abreast of current issues in business operations and incorporate changing business needs into risk analysis.
- Develop strong relationships with AB investment teams. Excellent communication and presentation skills, and comfort in challenging status quo.
- Collaborate with broader Risk team and other departments including Legal & Compliance, Operations and Technology to deliver a holistic risk management framework.
- Represent the independent risk function with key stakeholders including senior leadership, mutual fund boards, clients, prospects and consultants.
Preferred Qualifications
- Proficiency in SQL and Python preferred.