GRC Specialist

Europe, United Kingdom, London
Job ID: 2054

Job Description

[c. £150-225k Comp Package, Flexible Working Options]

We are seeking a diligent GRC Specialist to join a leading quantitative investment manager with a collaborative culture. In this role, you will monitor, analyse, and optimise risk management across asset classes. This is a chance to evolve your skills alongside talented individuals at the forefront of data-driven investing.

Key Responsibilities:

  • Monitor and design a risk management program across the company
  • Build tools to analyse returns, factors, and performance metrics
  • Enhance reporting, frameworks, and maintain data quality (align with industry-best practices)
  • Partner with business areas like Investor Relations and Portfolio Management
  • Liaise with external counterparties
  • Perform ad hoc analysis across asset classes
  • Onboard new counterparties and funds into daily processes

Key Requirements:

  • 5+ years experience in a similar role
  • Strong understanding of risk frameworks, such as ISO 27000, NIST, or similar  
  • Bachelor's degree in a relevant field (or equivalent)
  • Strong Python coding abilities
  • Solid grasp of technical risk concepts
  • Excellent prioritisation, organisation, communication, and a self-motivated problem-solver

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