Jobs Companies Soros Fund Management Risk Manager - Structured Products Focused

À propos de ce poste Risk Manager - Structured Products Focused chez Soros Fund Management

Soros Fund Management · Sur site · New York

Company Description

 

Soros Fund Management LLC (SFM) is a global asset manager and family office founded by George Soros in 1970. With ~$28 billion in assets under management (AUM), SFM serves as the principal asset manager for the Open Society Foundations, one of the world’s largest charitable foundations dedicated to advancing justice, human rights, and democracy.

 

Distinct from other investment platforms, SFM thrives on agility, acting decisively when conviction is high and exercising patience when it’s not. With permanent capital, a select group of major clients, and an unconstrained mandate, we invest opportunistically with a long-term view in a wide range of strategies and asset classes, including public and private equity and credit, fixed income, foreign exchange, and alternative assets. Our teams operate with autonomy, while cross-team collaboration strengthens our conviction and empowers us to capitalize on market dislocations.

 

At SFM, we foster an ownership mindset, encouraging professionals to challenge the status quo, innovate, and take initiative. We prioritize development, enabling team members to push beyond their roles, voice bold ideas, and contribute to our long-term success. This culture of continuous growth and constructive debate fuels innovation and drives efficiencies.

 

Our impact is measured by both the returns we generate and the values we uphold, from environmental stewardship to social responsibility. Operating as a unified team across geographies and mandates, we remain committed to our mission, ensuring a meaningful, lasting impact.

 

Headquartered in New York City with offices in Greenwich, Garden City, London, and Dublin, SFM employs 200 professionals.

 

Team Overview

 

The Risk team at Soros Fund Management is an independent, analytically driven function that plays a central and impactful role in the firm’s investment process. The team partners closely with the investment team while maintaining an objective mandate to ensure that risk-taking is intentional and well understood.

 

The group is responsible for shaping and monitoring portfolio construction across the firm, designing and enforcing risk limits, and delivering clear, decision-oriented reporting on exposures, performance drivers, and evolving risk profiles. Through rigorous scenario analysis and stress testing, the team evaluates portfolio behavior under a wide range of market environments, helping to identify vulnerabilities and inform investment decisions before risks are realized.

 

A core element of the team’s mandate is to provide thoughtful, constructive challenge to Portfolio Managers. Risk Managers are expected to engage deeply with investment teams, ask probing questions, and apply robust quantitative analysis to test assumptions, structures, and concentrations. In parallel, the team develops and enhances analytics and risk frameworks, leveraging technology and data to continuously improve transparency, consistency, and insight across portfolios.

 

The Risk team’s culture emphasizes independence of judgment, analytical rigor, and practical impact, ensuring that risk management at SFM is not merely a control function, but a value-add partner in delivering strong, sustainable, risk-adjusted investment performance.

 

 

 

 

Major Responsibilities

 

  • Provide independent, front-office aligned risk oversight across assigned portfolios, ensuring a holistic view of exposures at the trade, portfolio and fund levels.
  • Identify, analyze, and clearly communicate key risk themes, drivers of P&L, and changes in portfolio risk profiles.
  • Establish and monitor risk limits and guidelines, and partner with Portfolio Managers and Risk leadership to assess, escalate, and determine appropriate actions when exceptions arise.
  • Design, develop, and continuously refine risk methodologies
  • Build and maintain pricing and risk models for complex transactions and support the valuation process through independent analysis and challenge where appropriate.
  • Engage proactively with investment teams on the structuring, sizing, and risk assessment of new transactions and strategies.
  • Provide actionable, data-driven analytical insights to Portfolio Managers on key risk factors, return drivers, correlations, and tail risks.
  • Advance the quantitative framework used to support portfolio construction, diversification, and asset allocation decisions across strategies.
  • Collaborate closely with Technology and Quantitative Data Strategy teams to productionize models, analytics, and reporting processes with an aim to improving scalability, robustness, and data quality.

 

What We Value 

 

  • 7-10 years of relevant experience in market risk, portfolio management, structuring, trading, or research.
  • Direct hands-on experience in Securitized Products (Agency / Non-Agency, CMBS, CLO etc.) including comprehensive knowledge of models, markets and trading strategies.
  • Degree in an analytical subject, understanding of statistics, pricing models and risk methodology.
  • Effective communicator with ability to build rapport across investment professionals and senior management and communicate quantitative concepts clearly and concisely.
  • High level of intellectual curiosity, with a strong drive to ask probing questions, explore new ideas, and continuously deepen understanding.
  • Creative, hands-on, problem solver.
  • Thrives in a team-oriented environment
  • Solid grounding in quantitative finance and statistics with experience in analytical programming tools (ideally Python and SQL).
  • Knowledge of relevant systems (E.g., Intex, YieldBook, Bloomberg).

 

We anticipate the base salary of this role to be between $200,000-250,000. In addition to a base salary, the successful candidate will also be eligible to receive a discretionary year-end bonus. 

 

 

In all respects, candidates need to reflect the following SFM core values:

 

Smart risk-taking   //   Owner’s Mindset   //   Teamwork   //   Humility   //   Integrity   

Prêt à postuler chez Soros Fund Management ?
Postuler chez Soros Fund Management

Comment se compare ce salaire pour Risk Analyst

Ce poste paie $225,000/yrau-dessus de la fourchette habituelle pour les postes Risk Analyst.

$95,135 la médiane $157,361 $225,000

Fourchette typique $129,100–$183,850/yr, à partir de 117 annonces Risk Analyst comparables sur JobsRadar (rémunération annualisée en USD). Voir les aperçus de salaire pour Risk Analyst →

Emplois similaires

FanDuel
Senior Technology Governance, Risk & Compliance (GRC) Analyst
FanDuel
⚡ Postuler tôt New York City Sur site $138,000–$173,000
● Nouveau 👁 Vu ✓ Postulé il y a 11 h
FanDuel
Senior Technology Governance, Risk & Compliance (GRC) Analyst
FanDuel
⚡ Postuler tôt Atlanta, Georgia, United State... Sur site $138,000–$173,000
● Nouveau 👁 Vu ✓ Postulé il y a 11 h
EPIC Brokers
Contracts & Risk Analyst (Architects, Engineers, Construction)
EPIC Brokers
⚡ Postuler tôt 3780 Mansell Road, Ste 370, Al... Hybride $90,000–$105,000
● Nouveau 👁 Vu ✓ Postulé il y a 13 h
Capital One
Senior Manager, Product Management - Enterprise Services Risk
Capital One
⚡ Postuler tôt McLean, VA Sur site
● Nouveau 👁 Vu ✓ Postulé il y a 1 j
Luster National
Risk Manager
Luster National
⚡ Postuler tôt New Jersey, USA; New York, USA Sur site $125,000–$200,000
● Nouveau 👁 Vu ✓ Postulé il y a 1 j
TT
Sr Analyst, Technology Governance & Risk
The Trade Desk
⚡ Postuler tôt New York Sur site $85,300–$156,400
● Nouveau 👁 Vu ✓ Postulé il y a 1 j
Broadridge
Analyst, Third-Party Risk Management (TPRM) - Remote
Broadridge
⚡ Postuler tôt New Jersey-Home Office · lieu restreint $75,000–$85,000
● Nouveau 👁 Vu ✓ Postulé il y a 2 j
PwC
Risk Modeling Services Life - Manager
PwC
⚡ Postuler tôt NY-New York Sur site $99,000–$297,000
● Nouveau 👁 Vu ✓ Postulé il y a 2 j
Brookfield Properties
Risk Analyst
Brookfield Properties
⚡ Postuler tôt US NE - Omaha Sur site
● Nouveau 👁 Vu ✓ Postulé il y a 2 j

Inscrivez-vous pour des suggestions adaptées aux emplois que vous ouvrez et aux recherches que vous enregistrez.

Plus d’emplois chez Soros Fund Management

Voir tous les emplois chez Soros Fund Management →

Postuler maintenant
🤖

Doucement — un instant

JobsRadar a été conçu pour de vraies personnes qui traversent une période difficile dans leur recherche d’emploi — pas pour des requêtes automatisées. Vous cliquez beaucoup trop vite et vous êtes maintenant temporairement bloqué.

Revenez plus tard. Si vous cherchez réellement un emploi, nous sommes de votre côté — agissez simplement comme un être humain.

Catch your next role the second it’s posted.

Create a free account and we’ll watch the boards for you — the instant a job matches your search, it lands in your inbox or Telegram. No digging, no refreshing.

Create free account

Free forever · takes 30 seconds · already have one?

Prenez une longueur d’avance dans votre recherche d’emploi.

Rejoignez notre canal Telegram pour ce qui vous aide à décrocher le poste — références salariales, le pouls hebdomadaire du marché et les annonces de nouveautés. Pas de spam, que du signal.

Rejoindre le canal — c’est gratuit