B
Not Specified Permanent

Jersey City, New Jersey · USA job

Senior Systematic Risk Manager

Balyasny Asset Management

Jersey City, New Jersey

Job description

Overview

In this role you will strengthen BAM's Systematic Trading risk framework by leading daily and intraday portfolio analysis, refining risk processes and backtesting methodologies, and developing metrics for short-term strategies. You will partner with systematic PMs and management to monitor risk, share insights, and support Investment Committee decisions. This is a hands-on, impact-focused position in a globally connected, research-driven team.

Responsibilities
  • Conduct daily and intraday analysis on Systematic portfolios
  • Review process, architecture, simulation and backtest methodologies for Systematic portfolios
  • Refine manager selection and performance assessment with macro/thematic drivers and crowding analysis
  • Develop risk management methodologies and metrics for shorter-term systematic strategies; build monitoring tools
  • Contribute to BAM's risk analytics, processes and reporting within Systematic and elsewhere
  • Build relationships with systematic PMs globally and with the Global Head of Systematic
  • Provide input in weekly Global Risk committee discussions and advise Investment Committee on risk rewards
  • Report to Co-heads of Systematic and Event Risk
Key requirements
  • Advanced degree (Masters or Doctorate) in a quantitative discipline
  • 10+ years in quantitative finance as risk manager / portfolio manager / quant trader
  • Strong programming skills in Python or C++/C#
  • Well-versed in equity statistical arbitrage
  • Familiar with equity factor models
  • Strong communication skills
  • Rigorous research and analytical skills; practical problem-solving; ownership and attention to data quality
  • Strong communication
  • Creative and motivated
  • Hard-working
  • Python
  • C++
  • C#

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