Head Of Maf Investment Risk

Aviva Investors

London, United Kingdom
Competitive salary (depending on skills); discreti...
Hybrid
Substantial experience in market risk
Buy-side firm or asset management industry background
Ability to lead and manage a team of risk managers
This role leads a global team of Risk Managers and Analysts to deliver a clear view of the overall risk profile across MAF portfolios

Job Summary

  • This role leads a global team of Risk Managers and Analysts to deliver a clear view of the overall risk profile across MAF portfolios.
  • The successful candidate will provide independent and robust risk oversight while maintaining and developing investment risk frameworks covering market, credit, liquidity, and ESG risks.
  • Aviva Investors offers a competitive salary, discretionary bonus opportunities, and a generous pension scheme with contributions up to 14%.

Matching Summary

This role leads a global team of Risk Managers and Analysts to deliver a clear view of the overall risk profile across MAF portfolios.

Salary

Competitive salary (depending on skills); Discretionary bonus opportunity; Generous pension scheme up to 14%

Skills & Requirements

Must-have

  • Substantial experience in market risk
  • Buy-side firm or Asset Management industry background
  • Ability to lead and manage a team of risk managers

Nice-to-have

  • Knowledge of BlackRock Aladdin
  • Python coding ability
  • Excellent knowledge of MAF structures and markets

Key Requirements

  • Substantial experience in market risk
  • Experience in buy-side firm or Asset Management industry
  • Proven ability to lead and train risk professionals

Work Rights

Not specified

Tailored Resume

Cover Letter