Monitoring and analysing portfolio risks across a range of asset classes, including strategies linked to physical products
Assessing risks associated with real assets and underlying physical market dynamics (e.g. supply/demand factors, pricing volatility, liquidity considerations)
Producing high-quality risk reports and delivering clear, actionable insights
Conducting stress testing and scenario analysis to assess portfolio performance under different market conditions
Partnering directly with investment teams to challenge and support decision-making
Contributing to the evolution of risk frameworks, tools, and analytics
Engaging with senior stakeholders and presenting findings in a clear, confident manner
What They're Looking For
Experience in investment risk, portfolio analytics, or a related function (buy-side experience is advantageous)
Exposure to or interest in physical products / real assets / commodities-style portfolios is highly beneficial
Strong understanding of financial markets and key risk concepts
Solid analytical toolkit (Excel essential; Python/SQL a plus)
A proactive mindset with strong attention to detail
The ability to communicate complex ideas in a simple and impactful way
Someone who is curious, commercially aware, and keen to learn
Why This Role Stands Out
Unique Portfolio Exposure - Work on strategies involving physical products alongside financial instruments
Real Front-Office Exposure - You'll work closely with decision-makers, not in a silo
Breadth of Coverage - Exposure across multiple asset classes and real-world market dynamics
Influence & Visibility - Your work will directly shape investment discussions
Strong Culture - Collaborative, intellectually stimulating, and supportive environment
Career Development - Clear progression opportunities within a respected global platform
Next Steps
If this sounds like something you'd be interested in exploring, feel free to apply or reach out for a confidential conversation.
Additional Information
In this position, you'll sit within a collaborative and high-performing risk team, working closely with Portfolio Managers and senior stakeholders across the investment platform.
A key differentiator in this role is the opportunity to support portfolios with exposure to physical products , offering a unique blend of traditional financial risk and real-world asset considerations. This adds an additional layer of complexity and commercial insight, making it particularly attractive for candidates looking to broaden their experience.
You'll gain exposure across asset classes and strategies, with a real opportunity to influence investment decisions through insightful risk analysis.