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Investment Risk Manager - Liquidity

Baltimore, Maryland, United States of America💼 Full-time💰 $175,000–$175,000🗓 2026-06-29 → 2026-09-26

Core

Provide independent oversight of the firm's Short-Term investment business by delivering rigorous portfolio analytics and actionable risk insights focused on liquidity, market, and concentration risks.

Role type

Senior IC Investment Risk Manager (Liquidity)

Builds

Risk oversight framework and analytics for Short-Term investment business (money funds, stable value, ultra-short strategies)

Domain

Asset Management / Fixed Income / Liquidity Risk

Deliverable

production ML models | dashboards & analysis

Required skills

Stress testing, portfolio risk profiling, MSCI BarraOne, Aladdin Green Package, 2a-7 regulations, Python, Power BI, quantitative analysis

Preferred skills

CFA, FRM, PRM, AI/visualization methods, transition leadership

Technologies

Aladdin, MSCI BarraOne, Power BI, Python

Responsibilities

Identify and assess key risks and trends across issuers and market sensitivities; translate complex quantitative outputs into concise insights for stakeholders; apply advanced analytical methods to improve risk monitoring efficiency; stay abreast of industry trends to identify vulnerabilities; lead team transition to Aladdin including analytics validation and dashboard enhancements

Seniority

Senior, hands-on IC

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