A leading Global Multi-Strategy Asset Manager with over $80bn in total AUM is hiring a Risk Manager to join their growing Commodity Risk Management team. This individual can sit in Chicago, New York, or Houston, and they will be instrumental to the business as the Head of Commodity Risk's first hire. The firm covers multiple Equity, Credit, and Global Macro strategies, and this Risk Manager will primarily cover North American Power/Energy trading markets with the potential to grow into full desk coverage across markets including Oil, Natural Gas, Ags, Softs, and Metals. The risk team runs lean and supports a lean group of PMs, and this is a great opportunity to get in at the ground floor of a rapidly expanding business line where you can influence risk aware investment strat
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