EOS RPO

Investment Risk

Posted May 6, 2026
Project ID: R0018394
Location
Pune, Maharashtra
Hours/week
45 hrs/week
Timeline
2 weeks
Ends: Apr 16, 2026
Application Deadline: Apr 1, 2026 4:46 PM
Investment Risk Analyst | Global Asset Management

We are seeking a high-potential Investment Risk Analyst to partner with Portfolio Managers and senior Risk Managers in measuring and explaining risk across global, multi-asset portfolios. This role is ideal for a quantitatively-minded professional who wants to develop into a Risk Manager by mastering the intersection of data, technology, and investment strategy.

The Role
  • Year 1 Focus: Build and maintain robust risk reports, improve data pipelines, and conduct daily surveillance to identify unusual exposure or factor moves.

  • Production Analytics: Write clean, modular Python and SQL to automate dashboards (volatility, stress testing, concentration) and ensure data integrity.

  • Surveillance: Investigate drivers of risk changes (market moves vs. positioning) and escalate findings with evidence-based clarity.

  • Quantitative Research: Conduct bespoke analyses on hedging, position sizing, and derivatives, translating complex model outputs into actionable investment insights.

  • PM Engagement: Provide constructive challenge to investment teams and produce crisp visual/written summaries for decision-making.

Qualifications
  • Experience: 3–10 years in asset management or financial services.

  • Education: Quantitative degree (Math, Physics, CS, Engineering, or Finance).

  • Technical: * Python: Strong ability to write maintainable analytical code.

    • SQL: Expert in data manipulation and aggregation.

    • GenAI: Prudent use of AI tools to amplify productivity and communication.

  • Risk Knowledge: Familiarity with VaR, factor models, duration/convexity, and Greeks.

  • Soft Skills: Clear, concise communication and a disciplined approach to data.

Why Apply?

This is a high-visibility role at a sophisticated buy-side firm. You will move beyond "reporting" to become a strategic partner in the investment process, leveraging modern technology to manage global market risk.

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