Posted:
1/21/2026, 2:43:39 AM
Location(s):
New York, United States ⋅ New York, New York, United States
Experience Level(s):
Mid Level ⋅ Senior
Field(s):
Finance & Banking
Workplace Type:
Hybrid
We are seeking a talented individual to join our Secor team at Mercer. This role will be based in New York. This is a hybrid role that has a requirement of working at least three days a week in the office.
The Investment Risk Manager is responsible for overseeing and understanding the various investment risks undertaken within the firm’s portfolio management business.
We will count on you to:
Monitor portfolios to ensure conformity with established investment risk guidelines.
Investigate any investment guidelines exceptions and unexpected behavior that arise in the portfolio management process and respond in real time. Report exceptions to the Compliance officer and Management.
Collaborate with portfolio management teams to understand investment objectives and formulate suitable investment guidelines.
Provide analytical insight to enhance the investment and risk management process.
Perform risk analysis on portfolios and their benchmarks, reporting on market, liquidity and concentration risk.
Present portfolio risk and performance analysis to senior leaders across the firm.
Coordinate the addition of new instruments, portfolios and counterparties to the risk monitoring process.
Oversee and control the coding of investment guidelines into the risk system to ensure independent rule setting.
Develop risk measurement approaches and mitigation strategies.
What you need to have:
5+ years of relevant investment risk management experience in a buy side firm
Detailed understanding of risk measurement and risk management approaches
Ability to accurately evaluate and quantify risks under both normal and stressed market conditions using both vendor and proprietary tools
Strong understanding of fixed income analytics, security valuation and bond math required
Have strong analytical skills to enable problem solving and development of solutions that can be scaled across numerous portfolios
Must be detail oriented and have strong problem solving and analytical skills
Must have excellent written and verbal communication skills
Self-starter with the ability to work independently
Bachelor’s Degree in finance, math, computer science, or other quantitative field required
Advanced knowledge of Microsoft Excel required
What makes you stand out:
Experience with CRIMS, Bloomberg and Yield Book a plus
Experience in Python or similar programming languages a plus
Why join our team:
We help you be your best through professional development opportunities, interesting work and supportive leaders.
We foster a vibrant and inclusive culture where you can work with talented colleagues to create new solutions and have impact for colleagues, clients and communities.
Our scale enables us to provide a range of career opportunities, as well as benefits and rewards to enhance your well-being.
Website: https://www.oliverwyman.com/
Headquarter Location: New York, United States
Employee Count: 1001-5000
Year Founded: 1984
IPO Status: Private
Industries: Consulting ⋅ Finance ⋅ Financial Services ⋅ Risk Management