In addition to leading the risk management of commodity trades, we would expect and encourage the ... Expand oversight beyond Commodities to other asset classes, and act as a backup to the Head of ...
In addition to leading the risk management of commodity trades, we would expect and encourage the ... Expand oversight beyond Commodities to other asset classes, and act as a backup to the Head of ...
Insurance Risk Manager
Manhattan, NY · On-site
Provide cash management, payment and commodity trade confirmation support as needed during holidays ... The company's philanthropic efforts prioritize giving back to its communities and beyond. Chobani ...
Insurance Risk Manager
Manhattan, NY · On-site
Provide cash management, payment and commodity trade confirmation support as needed during holidays ... The company's philanthropic efforts prioritize giving back to its communities and beyond. Chobani ...
OUR IMPACT Global Risk Management sits at the center of Goldman Sachs Asset Management, providing ... We're committed to fostering and advancing diversity and inclusion in our own workplace and beyond ...
OUR IMPACT Global Risk Management sits at the center of Goldman Sachs Asset Management, providing ... We're committed to fostering and advancing diversity and inclusion in our own workplace and beyond ...
Lead Risk Specialist - Enterprise Risk
Brooklyn, NY · Hybrid
$135K - $158K/yr
You'll go beyond managing risk-you'll enable progress across National Grid's biggest priorities: * Advance cleaner energy Manage risks tied to decarbonization, grid transformation, and regulatory ...
Lead Risk Specialist - Enterprise Risk
Brooklyn, NY · Hybrid
$135K - $158K/yr
You'll go beyond managing risk-you'll enable progress across National Grid's biggest priorities: * Advance cleaner energy Manage risks tied to decarbonization, grid transformation, and regulatory ...
Bachelor's Degree in Risk Management, Finance, or related quantitative field of study * Must have ... beyond time spent at work to offer benefits focused on your health, wellbeing and financial ...
Bachelor's Degree in Risk Management, Finance, or related quantitative field of study * Must have ... beyond time spent at work to offer benefits focused on your health, wellbeing and financial ...
Lead Risk Specialist - Enterprise Risk
Melville, NY · Hybrid
$135K - $158K/yr
You'll go beyond managing risk-you'll enable progress across National Grid's biggest priorities: * Advance cleaner energy Manage risks tied to decarbonization, grid transformation, and regulatory ...
Lead Risk Specialist - Enterprise Risk
Melville, NY · Hybrid
$135K - $158K/yr
You'll go beyond managing risk-you'll enable progress across National Grid's biggest priorities: * Advance cleaner energy Manage risks tied to decarbonization, grid transformation, and regulatory ...
OUR IMPACT Global Risk Management sits at the center of Goldman Sachs Asset Management, providing ... We're committed to fostering and advancing diversity and inclusion in our own workplace and beyond ...
OUR IMPACT Global Risk Management sits at the center of Goldman Sachs Asset Management, providing ... We're committed to fostering and advancing diversity and inclusion in our own workplace and beyond ...
OUR IMPACT Global Risk Management sits at the center of Goldman Sachs Asset Management, providing ... We're committed to fostering and advancing diversity and inclusion in our own workplace and beyond ...
OUR IMPACT Global Risk Management sits at the center of Goldman Sachs Asset Management, providing ... We're committed to fostering and advancing diversity and inclusion in our own workplace and beyond ...
Lead Risk Specialist - Enterprise Risk
Brooklyn, NY · On-site
$135K - $158K/yr
You'll go beyond managing risk-you'll enable progress across National Grid's biggest priorities: * Advance cleaner energy Manage risks tied to decarbonization, grid transformation, and regulatory ...
Lead Risk Specialist - Enterprise Risk
Brooklyn, NY · On-site
$135K - $158K/yr
You'll go beyond managing risk-you'll enable progress across National Grid's biggest priorities: * Advance cleaner energy Manage risks tied to decarbonization, grid transformation, and regulatory ...
Insurance Risk Manager
New York, NY · On-site
Bachelor's Degree in Risk Management, Finance, or related quantitative field of study * Must have ... beyond time spent at work to offer benefits focused on your health, wellbeing and financial ...
Insurance Risk Manager
New York, NY · On-site
Bachelor's Degree in Risk Management, Finance, or related quantitative field of study * Must have ... beyond time spent at work to offer benefits focused on your health, wellbeing and financial ...
Risk Manager - Commodities
New York, NY · On-site
Understand and advise senior management on the nuances of proposed new commodities strategies ... We embrace a culture of togetherness that extends far beyond the walls of our office. Feel like you ...
Risk Manager - Commodities
New York, NY · On-site
Understand and advise senior management on the nuances of proposed new commodities strategies ... We embrace a culture of togetherness that extends far beyond the walls of our office. Feel like you ...
This commitment extends beyond the workplace to foster personal growth and holistic wellbeing. Our ... Bachelor's Degree in Risk Management, Safety, Engineering, Physical Science, or Biological Science ...
This commitment extends beyond the workplace to foster personal growth and holistic wellbeing. Our ... Bachelor's Degree in Risk Management, Safety, Engineering, Physical Science, or Biological Science ...
Collections Strategy Senior Manager (US)
New York, NY · On-site
$115K - $186K/yr
Risk Management We are looking for a highly analytical and strategic lead to join as a Credit Card ... Interfaces with teams beyond risk in a cross-functional manner * Represents business on corporate ...
Collections Strategy Senior Manager (US)
New York, NY · On-site
$115K - $186K/yr
Risk Management We are looking for a highly analytical and strategic lead to join as a Credit Card ... Interfaces with teams beyond risk in a cross-functional manner * Represents business on corporate ...
BLP Intern - Risk
Stamford, CT · On-site
$16 - $21.25/hr
Risk Management BLP Internship Experience: What You'll Accomplish This internship is for students ... Proven leadership both inside and beyond the classroom * Strong project management and ...
New
BLP Intern - Risk
Stamford, CT · On-site
$16 - $21.25/hr
Risk Management BLP Internship Experience: What You'll Accomplish This internship is for students ... Proven leadership both inside and beyond the classroom * Strong project management and ...
New
Risk Engineer
New York, NY · On-site
In this role, you will focus on building out our risk function and managing all aspects of risk ... We embrace a culture of togetherness that extends far beyond the walls of our office. Feel like you ...
Risk Engineer
New York, NY · On-site
In this role, you will focus on building out our risk function and managing all aspects of risk ... We embrace a culture of togetherness that extends far beyond the walls of our office. Feel like you ...
Asset & Wealth Management, Investment Risk Management, Fixed Income, Associate - New York
New York, NY · On-site
OUR IMPACT The Global Risk Management team is uniquely positioned within the firm as part of ... We're committed to fostering and advancing diversity and inclusion in our own workplace and beyond ...
Asset & Wealth Management, Investment Risk Management, Fixed Income, Associate - New York
New York, NY · On-site
OUR IMPACT The Global Risk Management team is uniquely positioned within the firm as part of ... We're committed to fostering and advancing diversity and inclusion in our own workplace and beyond ...
Senior Manager, Financial Risk
New York, NY · On-site
Build the Future of Risk Management: Design and implement sophisticated risk models, loss ... You'll move beyond traditional financial statement analysis to develop a comprehensive view of ...
Senior Manager, Financial Risk
New York, NY · On-site
Build the Future of Risk Management: Design and implement sophisticated risk models, loss ... You'll move beyond traditional financial statement analysis to develop a comprehensive view of ...
Asset & Wealth Management, Investment Risk Management, Fixed Income, Associate - New York
New York, NY · On-site
OUR IMPACT The Global Risk Management team is uniquely positioned within the firm as part of ... We're committed to fostering and advancing diversity and inclusion in our own workplace and beyond ...
Asset & Wealth Management, Investment Risk Management, Fixed Income, Associate - New York
New York, NY · On-site
OUR IMPACT The Global Risk Management team is uniquely positioned within the firm as part of ... We're committed to fostering and advancing diversity and inclusion in our own workplace and beyond ...
OUR IMPACT The Global Risk Management team is uniquely positioned within the firm as part of ... We're committed to fostering and advancing diversity and inclusion in our own workplace and beyond ...
OUR IMPACT The Global Risk Management team is uniquely positioned within the firm as part of ... We're committed to fostering and advancing diversity and inclusion in our own workplace and beyond ...
Technology Risk Executive
Jersey City, NJ · On-site
$185K - $285K/yr
As part of Risk Management and Compliance, you are at the center of keeping JPMorgan Chase strong ... Provide leadership across a matrixed organization , influencing priorities and outcomes beyond ...
Technology Risk Executive
Jersey City, NJ · On-site
$185K - $285K/yr
As part of Risk Management and Compliance, you are at the center of keeping JPMorgan Chase strong ... Provide leadership across a matrixed organization , influencing priorities and outcomes beyond ...
Beyond Risk Management information
Who is the CEO of Beyond Risk?
What is the highest paying risk management job?
What does Beyond Risk do?
Who owns Beyond Risk?
What is the difference between Beyond Risk Management vs Risk Analyst?
| Aspect | Beyond Risk Management | Risk Analyst |
|---|---|---|
| Required Credentials | Certifications like CRM, FRM, or RIMS certifications | Degrees in finance, economics, or related fields; certifications like FRM or CRM |
| Work Environment | Corporate risk departments, consulting firms, insurance companies | Financial institutions, consulting firms, corporate risk teams |
| Industry Usage | Used across industries for comprehensive risk oversight | Focused on analyzing specific risks and data |
While both roles involve risk assessment, Beyond Risk Management focuses on overarching risk strategies and enterprise-wide risk oversight, whereas Risk Analysts primarily analyze specific risks and data to inform decision-making. Understanding these differences helps professionals choose the right career path or role within the risk management field.

Job description
MIO Partners manages a portfolio covering an especially broad range of strategies, markets, and legal structures. Part of our capital is directly invested in our Macro Trading portfolio, which includes relative value macro trades to create alpha, as well as portfolio hedges and beta trades to manage the aggregate portfolio exposure to different markets. As a subsidiary of McKinsey & Co., MIO does not directly trade any single-name equity or credit positions, but our Macro Trading portfolio spans a broad range of asset classes, including the trading of broad-based equity and credit indices. In addition to our internally managed capital, we are an active allocator to external investment managers, either as a Limited Partner (LP) in an investment manager's commingled fund or as a Separately Managed Account (SMA) on a platform that we manage in-house. This diversity provides a unique opportunity for the professional development of the Risk team, which we relish.
The Risk TeamThe Risk Team works closely with our colleagues across Investments, Treasury, Operations, and Legal to assess and manage the risks we and our investors face. The following characteristics define the nature of our work and our team culture:
- Strategic and Disciplined Decision Making: We add value through an in-depth understanding of the nature and impact of various risks and consistently reflecting them in our decisions. We aim to ensure that our portfolios are sufficiently resilient without undue cost or unreasonably limiting our investment opportunities.
- Thought Partnership: We are independent but not isolated. We aim to achieve the best understanding and approach through collaboration with our colleagues. We are not afraid to challenge or be challenged, supported by our mutual commitment to the interests of our clients.
- Innovative Thinking: We try to learn from the collective experience of our profession across the industry while being unafraid to do things differently (after rigorous evaluation).
- Operational Excellence: We ensure our decisions are accurately implemented every day through rigorous upfront testing of our systems and daily diligence. We need to understand the limitations of each model or process and recognize when it does not apply to a new situation.
The Senior Macro Trading Risk Manager will be the most senior position reporting to the Head of Macro Trading Risk. We are specifically seeking an individual to lead the risk management of our commodity trading books, which are uniquely informed by supply, demand, and storage dynamics. In addition to leading the risk management of commodity trades, we would expect and encourage the Senior Macro Trading Risk manager to become familiar with and oversee the risk of other asset classes and act as a backup to our Head of Macro Trading Risk.
The Senior Macro Trading Risk Manager would:
- Develop an accurate understanding of and clearly communicate the loss potential for individual 'bets' (aka 'alpha theses'), themes (e.g., 'natural gas'), and commodity trading in aggregate. Interpret the results of existing stress tests in the context of the current market-and if needed, complement them with ad-hoc, prospective analyses-to develop and articulate a judgmental estimate of exposure/sensitivity to different markets and potential losses at different levels of confidence.
- Effectively engage with and act as a value-adding thought partner to both the Risk and Investment teams (Portfolio Managers, Head of Macro Trading Risk, and the CRO and CIO) in enhancing our understanding of key risks and developing strategies to mitigate them. Assist the Head of Macro Trading Risks and CRO in assessing whether to approve temporarily exceeding any investment team guidelines.
- Monitor the markets and the risk profile of the portfolio and take appropriate action as needed, including confirming the reasonability of assumptions, highlighting any changes or emerging risks, and ensuring the risk profile is within the risk appetite.
- Continue to improve and expand our trading risk analytics and ensure all risk calculation frameworks appropriately reflect the risk of the underlying positions. We use a broad set of analytics, including historical simulations, VaR and CVaR, sensitivities/Greeks, and stress tests. Perform ad-hoc, topical analyses of risk, such as drill-downs on more significant risk concentrations, scenario analyses, and any other analyses to complement routine reports
- Continue to improve and expand our understanding of market liquidity, including identifying and onboarding new data sources and improving our understanding of fluctuations in market liquidity, whether due to timing (e.g., seasonality, time to maturity) or under different market scenarios and stresses.
- Expand oversight beyond Commodities to other asset classes, and act as a backup to the Head of Macro Trading Risk, including overseeing the timely production of risk and guideline reporting, and acting as a thought partner to the CRO in evolving the market risk appetite framework as appropriate.
- Deep understanding of various commodities, commodity markets, and commodity trading strategies. Experience with other asset classes is a plus.
- Proven ability to engage closely and effectively with portfolio managers both as a thought partner and as an independent risk manager providing oversight; independent thinker, good listener, and persuasive and clear communicator who can gain the trust of senior leaders across both Risk and Investment Management teams.
- Distinctive conceptual and analytical capabilities; quickly understands the key defining features of a problem, develops a reasonable approach to new problems, effectively prioritizes research and analyses based on impact and required effort, and quickly converges to a reasonable conclusion.
- Understanding of and comfort with introductory probability and statistics and their application to financial risk management. Can identify and assess the importance of the shortcomings of an analytical model in the context of a specific portfolio.
- Good judgment. Can synthesize various pieces of information about a position or portfolio to draw sound conclusions about risks.
- Able to work effectively in a fast-paced and entrepreneurial environment.
- Highly productive, diligent, and detail-oriented.
- 7+ years of professional experience in commodities trading and/or commodity risk management at a hedge fund or bank. Experience across various commodities, e.g., in risk management at a global macro or multi-strategy fund with an active commodity trading focus, is much preferred.
- First-hand experience with industry-standard multi-asset class risk systems (e.g., RiskMetrics and Aladdin) preferred.
- Distinctive academic pedigree. Minimum bachelor's degree in mathematics, physics, philosophy, economics, computer science, or engineering. Advanced degree preferred.
- CFA and FRM or PRMIA designations are a plus.
*****************
Applicants must be authorized to work in the U.S. without the need for employer-sponsored work authorization, now or in the future.
MIO Partners, Inc. (MIO) is an equal opportunity employer. MIO will consider all applicants regardless of race, color, religion, sex, sexual orientation, gender identity, national origin, veteran status, or disability status.
MIO has adopted a flexible, hybrid model that supports a blend of in-office and remote work. Our office is in New York City.
About MIO Partners
Sourced by ZipRecruiter
Industry
Investment management and consulting services
Company size
51 - 200 Employees
Headquarters location
New York, NY, US
Year founded
2003