What are the responsibilities and job description for the Volatility Risk Manager position at Verition Fund Management LLC?
Verition Fund Management LLC ("Verition") is a multi-strategy, multi-manager hedge fund founded in 2008. Verition focuses on global investment strategies including Global Credit, Global Convertible, Volatility & Capital Structure Arbitrage, Event-Driven Investing, Equity Long/Short & Capital Markets Trading, and Global Quantitative Trading.
Job Title: Volatility Risk Manager
Location: New York, NY
Key Responsibilities:
Job Title: Volatility Risk Manager
Location: New York, NY
Key Responsibilities:
- Develop and implement advanced tools to improve the accuracy and efficiency of risk analysis.
- Generate comprehensive risk reports to give the risk management team a full perspective of the firm's risk profile.
- Actively work alongside portfolio managers to monitor and analyse risks, ensuring effective risk management strategies are in place.
- Provide detailed insights and interpretations of risk movements to aid in decision-making processes.
- Help refine and expand the firm’s risk analysis framework to better assess and manage risks.
- Around 5-10 years of professional experience in equity derivatives risk management, FX and rates volatility experience is a plus.
- Previous experience in volatility risk or portfolio management.
- Strong coding abilities required.
- knowledge of volatility derivatives products.
- Excellent communication skills, with proven ability to work effectively across various teams.
Salary : $150,000 - $200,000