Risk Manager – Credit

Company: OCR Alpha
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Job Description:

OCR Alpha is partnering with a leading Global Alternative Investment Manager with deep expertise across public and private markets.

The firm is seeking an experienced Risk Manager with Public Credit experience across multiple strategies and a track record of working closely with portfolio managers. This is a hands-on, front-line risk role responsible for managing and monitoring risk across the firm’s diversified portfolio, including credit, derivatives, equities, real estate, and illiquid investments.

Beyond daily risk monitoring, the role will lead initiatives to enhance risk infrastructure, refine portfolio construction, and improve models, combining practical execution with strategic impact. This position is ideal for a proactive, detail-oriented professional who thrives in dynamic environments and takes ownership during critical moments.

Requirements:

  • A degree in a quantitative field such as statistics, mathematics, engineering, financial engineering, or economics (undergraduate or graduate level)
  • 8+ years of experience in risk roles within Hedge Funds, Asset Management or Investment Banking, analysing complex financial data and developing risk management strategies. Fund experience is preferred.
  • Extensive knowledge of credit investments and fixed income, with hands-on experience in developing and maintaining risk frameworks and models. Experience in portfolio construction is a plus.
  • Proven ability to balance urgent front-line execution with medium-term project delivery that improves the firm’s risk platform and investment process.
  • Proficiency in programming languages, particularly Python.

Posted: April 2nd, 2026