About this role
Manager, Market Risk at Hoopp. Location: Toronto or London. Role: monitoring exposures, developing analytics, conducting stress-tests Requirements: 5+ years in portfolio management, investment risk or research; strong quantitative skills; knowledge of capital markets and market risk concepts; ability to use AI/automation tools; undergraduate degree in math/finance/engineering/economics/computer science (Master's preferred). Category: Finance and Accounting Seniority: Senior Level Commitment: Full Time Workplace: Onsite Languages: English