Verition Fund Management

Verition Fund Management

47 jobs near Columbus, OH

Firm Overview Verition Fund Management LLC ("Verition") is a multi-strategy, multi-manager hedge fund founded in 2008. Verition focuses on global investment strategies including Global Credit, Global ...

Treasury Engineer

New York, NY · On-site

$120K - $200K/yr

Firm Overview Verition Fund Management LLC ("Verition") is a multi-strategy, multi-manager hedge fund founded in 2008. Verition focuses on global investment strategies including Global Credit, Global ...

US Payroll Associate

New York, NY · On-site

$120K - $155K/yr

Firm Overview Verition Fund Management LLC ("Verition") is a multi-strategy, multi-manager hedge fund founded in 2008. Verition focuses on global investment strategies including Global Credit, Global ...

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Equity Long/Short Risk Analyst New York, NY, USA

Verition Fund Management LLC

Manhattan, NY • On-site

$150 - $200/hr

Other

Posted 2 days ago

New


Job description

Verition Fund Management LLC (\"Verition\") is a multi-strategy, multi-manager hedge fund founded in 2008. Verition focuses on global investment strategies including Global Credit, Global Convertible, Volatility & Capital Structure Arbitrage, Event-Driven Investing, Equity Long/Short & Capital Markets Trading, and Global Quantitative Trading.

Job Title

Equity Long/Short Risk Analyst

Location

New York, NY

Key Responsibilities
  • Strategy coverage: Equity Long/Short.
  • Monitor portfolio exposures, run stress test scenarios, and track risk metrics.
  • Support position and portfolio oversight — concentration, leverage, liquidity, correlation — alongside the Equity Long/Short Risk Manager.
  • Build working relationships with portfolio managers on day-to-day risk questions.
  • Produce regular and ad hoc risk reports for senior management, the investment committee, and other stakeholders.
  • Support model validation and enhancement work in partnership with the Equity Portfolio Researcher and Central team.
  • Help ensure adherence to risk limits and internal policies.
Requirements
  • 4–5 years of relevant risk management experience in the financial sector with a focus on equity markets.
  • Buyside experience preferred.
  • Proficiency in Python and SQL; familiarity with AI tools.
  • Familiarity with risk models and market conventions (e.g., Barra factor models).
  • Strong communication skills, with the ability to build rapport with portfolio managers and articulate risk concepts clearly.
  • Hands‑on, roll‑up‑sleeves mindset.
Salary Range

$150,000 - $200,000 USD

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