Risk Manager
Caxton Associates(1 month ago)
About this role
A Risk Manager in Investment Management oversees the identification, assessment, and mitigation of risks associated with investment portfolios. The role involves analyzing market trends, developing risk models, and ensuring compliance with regulatory standards.
Required Skills
- Risk Management
- Financial Analysis
- Regulatory Compliance
- Market Analysis
- Risk Modeling
About Caxton Associates
caxton.comCaxton is a global macro hedge fund known for its strategic investment approaches and risk management expertise. The firm leverages macroeconomic trends and data analytics to guide its investment decisions, focusing on opportunities across various asset classes, including equities, fixed income, and commodities. With a commitment to delivering strong returns while mitigating risk, Caxton aims to provide investors with innovative solutions in a constantly evolving financial landscape.
View more jobs at Caxton Associates →Apply instantly with AI
Let ApplyBlast auto-apply to jobs like this for you. Save hours on applications and land your dream job faster.
More jobs at Caxton Associates
Similar Jobs
Risk Analyst – Market Risk
The Hartford(18 days ago)
Chief Risk Officer
High Street Resources(2 months ago)
Risk Manager
Foodics(3 months ago)
Sr. Risk Analyst
Brown Brothers Harriman(7 days ago)
MARKET RISK ANALYST
BBVA(18 days ago)
Market Risk Management Intern (Non-Campus)
Quantitative Marketing(10 days ago)