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London, Greater London, United Kingdom Jefferies Full timeJob Title: Hedge Fund Credit Risk Manager, VPJefferies is seeking a highly skilled Hedge Fund Credit Risk Manager, VP to join our team. As a key member of our Global Counterparty Credit Risk management team, you will be responsible for supporting the team's counterparty primary credit coverage of hedge funds, family offices, and asset managers.Key...
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Hedge Fund Credit Risk Manager, VP
1 month ago
London, Greater London, United Kingdom Jefferies Full timeJob Title: Hedge Fund Credit Risk Manager, VPJefferies is seeking a highly skilled Hedge Fund Credit Risk Manager, VP to join our team. As a key member of our Global Counterparty Credit Risk management team, you will be responsible for supporting the team's counterparty primary credit coverage of hedge funds, family offices, and asset managers.Key...
Funds Credit Risk VP
2 months ago
Leading Global CIB seeking a Credit Risk VP to join their 2LOD FIG team, focused on regulated funds and hedge funds.
Key Responsibilities
- Assessment and recommendation of appropriate rating and credit limits for Hedge Funds/ regulated funds counterparties. Oversee the annual review of existing limits and counterparties.
- Maintenance of EMEA portfolio across the bank and securities within areas of responsibility.
- Run periodic and at least annual counterparty due diligent calls with Hedge Fund clients.
- Collaborate with the Risk Analytics Group to ensure credit risk can be modelled and measured correctly. This includes assessment of HC and IA requirements where counterparty credit quality is considered.
- Provide creative solutions: Influencing transaction structures and credit risk related terms/conditions when required.
- Present transactions to senior management (including CRO) for discussion and approval.
- Analyse and present complex structures and make recommendations to senior Risk management staff, in a concise and clear manner.
- Monitor that transactions of the delegated responsibility perform within the terms of the credit approval. Assess portfolio level risks. This includes enhanced monitoring framework in place for Hedge Funds.
Skills/ Experience Required
- 6+ years Extensive and solid financial sector experience in a hedge fund focused role in a risk management department. Additional experience in EMEA regulated funds (pension funds, investment funds) is preferred
- Competence in analysing traded products’ portfolios, including OTC derivatives; Securities Lending/Borrowing and Repo transactions.
- Experience with legal documentation (ISDA/CSA/IM/GMRA/GMSLA/CDEA) from a credit perspective.
- Familiarity with key regulatory frameworks and relevant banking regulation that impact credit risk management.