Investment Risk Analyst – Fixed Income

Company: Barclay Simpson
Apply for the Investment Risk Analyst – Fixed Income
Location: Greater London
Job Description:

InvestmentRiskAnalyst–FixedIncome

London

4-5daysintheoffice.

Thefirm

Ourclientisawell-establishedinvestmentmanagerwithastrongtrackrecordacrosscreditandfixedincomemarkets.Thebusinessmanagescapitalonbehalfofinstitutionalinvestorsandhasbuiltareputationforrigorousresearch,disciplinedportfolioconstructionandacollaborativeinvestmentculture.

Riskplaysanimportantrolewithintheinvestmentprocessandisviewedasacommercialpartnertothefrontoffice.Theteamworkscloselywithportfoliomanagersandseniorstakeholderstoprovideoversight,analysisandconstructivechallengeacrossportfoliosandinvestmentstrategies.

Thisisanexcellentopportunityforanearly-careerriskprofessionaltojoinahigh-qualityinvestmentriskteaminLondon,supportingfixedincomeportfoliosandgainingbroadexposureacrossmarkets,productsandportfolioconstruction.

Therole

TheInvestmentRiskAnalystwillsupporttheoversightofCreditProducts,helpingtomonitorandanalysemarket,credit,liquidityandconcentrationrisksacrossarangeofstrategies.Therolewillinvolvecloseinteractionwithportfoliomanagersandotherinvestmentprofessionals,providinganalysisandinsightonportfoliopositioning,riskexposuresandmarketdevelopments.

Thesuccessfulcandidatewillworkinahands-oncapacity,contributingtoportfolioriskreporting,stresstesting,scenarioanalysisandthecontinueddevelopmentofrisktoolsandanalytics.Thisrolewouldsuitsomeonewithbetween6monthsand3yearsofexperiencewhoislookingtobuildacareerinbuy-sideinvestmentriskwithinfixedincome.

Maindutiesandresponsibilities

  • Supporttheday-to-dayriskoversightoffixedincomeportfoliosacrossarangeofstrategies
  • Monitorandanalyseportfoliorisksincludingmarketrisk,spreadrisk,creditrisk,liquidityriskandconcentrationrisk
  • Produceregularriskreportingonportfolioexposures,sensitivities,limitsandperformanceunderstressscenarios
  • Assistwithscenarioanalysisandstresstestingtoassesstheimpactofmarketmoves,spreadwidening,defaultsandbroadermacroevents
  • Workcloselywithportfoliomanagerstounderstandportfoliopositioning,investmentviewsandchangesinriskexposures
  • Provideanalysisonportfolioconcentrations,relativevaluepositionsanddownsiderisks
  • Monitorportfolioguidelines,risklimitsandothercontrolswithinthefirm’sriskframework
  • Investigatechangesinportfolioriskandperformance,highlightingkeydriversandemergingissues
  • Reviewriskdataandanalyticstoensureexposuresarebeingcapturedaccuratelyandrepresentedappropriately
  • Contributetothedevelopmentandenhancementofriskreporting,analyticsandmonitoringtools
  • Liaisewithteamsacrossportfoliomanagement,trading,operations,analyticsandtechnologytosupportrobustriskcaptureandreporting
  • Supportadhocanalysisonnewtrades,portfoliochangesandmarketdevelopmentsasrequired

Candidateprofile

Thisroleissuitedtoanindividualwithastrongacademicbackgroundandearlyexperienceininvestmentrisk,marketrisk,performance/riskanalyticsorarelatedfixedincomeenvironment.Theidealcandidatewillbeanalyticallystrong,detail-orientedandkeentodevelopwithinafast-pacedbuy-sidesetting.

Theyshouldbecomfortableworkingwithdata,interpretingportfoliorisksandcommunicatingfindingsclearlytoarangeofstakeholders.

Workexperience/background

Essential

  • 6monthsto3yearsofrelevantexperienceininvestmentrisk,marketrisk,portfolioanalytics,performanceanalyticsorarelatedrole
  • Exposuretocreditproducts;CLOs,ABS,HighYieldetc.
  • Experienceanalysingportfolios,marketexposuresorriskmetricsinaquantitativeenvironment
  • Strongacademicbackground,ideallyinaquantitativedisciplinesuchasMathematics,Physics,Engineering,FinanceorComputerScience
  • Strongnumericalanddataanalysisskills
  • Experienceusingdatatoproduceanalysis,reportingorinsightsforinvestmentorriskteams
  • Aninquisitivemind
  • Demonstrableabilitytogoaboveandbeyond

Desirable

  • Experiencegainedwithinassetmanagement,investmentbanking,hedgefundsoranotherinstitutionalinvestmentenvironment
  • Exposuretocreditproducts,rates,bonds,loansorotherfixedincomeinstruments
  • Familiaritywithstresstesting,scenarioanalysisorportfolioriskreporting
  • Experienceinteractingwithportfoliomanagers,tradersorinvestmentprofessionals
  • ProgresstowardsCFA,FRMorasimilarqualification
  • StrongPythonskills–Allmembersoftheteamcurrentlycode.

Technical/businessskillsandknowledge

Essential

  • Goodunderstandingoffixedincomemarketsandkeyriskconcepts
  • Stronganalyticalandproblem-solvingcapability
  • Highattentiontodetailandabilitytoworkwithcomplexdatasets
  • Goodcommunicationskills,withtheabilitytoexplainriskissuesclearlyandpractically
  • Abilitytomanagecompetingprioritiesandworkeffectivelyinafast-pacedenvironment
  • StrongExcelskills

Whythisrole?

  • Opportunitytojoinawell-regardedinvestmentplatform
  • Strongexposuretofixedincomeportfoliosandinvestmentdecision-making
  • Closeinteractionwithportfoliomanagersandseniorstakeholders
  • Broadrolespanningportfoliorisk,analyticsandfront-officepartnership
  • Excellentdevelopmentopportunityforsomeonelookingtobuildalong-termcareerinbuy-sideinvestmentrisk

Barclay Simpson – global leaders in Risk recruitment: https://www.barclaysimpson.com/specialisms/risk-jobs/

This job was posted by Barclay Simpson: https://www.barclaysimpson.com/job/investment-risk-analyst-fixed-income/

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Posted: March 18th, 2026