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Senior Risk Manager

Gardacp · Geneva, Geneva

On-siteWorkplace
2d agoPosted · Sep 28
ArbeitnowSource
$119kcompliance officer median
Experience8+ years
EducationMaster's degree preferred

Skills in this posting

The posting

Garda Capital Partners (Garda) is a multi-billion dollar alternative investment firm with over 22 years of experience deploying relative value strategies across fixed income markets for institutional investors. We hire, grow, and mentor great talent and remain steadfast in our commitment to building a culture that helps them succeed.

Garda is more than a workplace. We are built on trust, integrity, and a shared vision for how we work together, the enduring relationships we build, and the consistency of our results. Garda's primary offices are located in Wayzata, New York City, West Palm Beach, Geneva, Zug, Copenhagen, Singapore, and Scottsdale.

Garda’s Risk Management team is looking for a Senior Risk Manager with a macro or rates background to join our team in New York or Geneva. The role’s primary responsibility will be identifying, measuring and monitoring risk for a growing portfolio management team.

Position Responsibilities

Helping design and develop risk frameworks, processes, scenario/stress analyses, and metrics for risk managing portfolios with a focus on macro strategies

Conducting deep dive analysis on the relevant PM portfolios. Refine the process of performance assessment, with a keen focus on macro/thematic drivers and crowding analysis

Building analytics, dashboards, and other tools to monitor risk and sharing with the Risk Management team and/or PMs

Monitoring and analyzing risk exposures on both a daily and longer-term basis

Working independently on complex and business-critical risk management projects

Developing and applying expertise in non-macro trading strategies and market characteristics

Communicating key risk factors to the broader Risk Management team

Qualifications & Desired Skills

Minimum 8-10 years’ experience in a relevant role at a top tier bank or hedge fund

Master’s degree preferred in Finance, Engineering, Mathematics, or related field with strong academic performance

Deep understanding of macro trading strategies and risk factors

Understanding of when and how to design and apply different risk metrics, such as market sensitivity, scenario analyses, and volatility/expected loss.

Ability to work effectively in a high-energy, time sensitive team environment

Detail-oriented nature with strong verbal and written communication skills

Ability to work independently

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