Head Of Investment Risk

London, United Kingdom

Job Description

Job Title: Head of Investment Risk
Location: London
Client: Confidential (Institutional Asset Manager)
Employment Type: Full-Time | Permanent
Reports to: Chief Risk Officer (CRO)
Overview
We are working exclusively on behalf of ahighly reputable institutional asset manager to identify an experienced Head of Investment Risk. This is a pivotal leadership role within a well-resourced and growing investment function. The successful candidate will be responsible for overseeing the full spectrum of investment risk-spanning public and private markets-and will lead a team focused on providing proactive insight, control, and challenge to the investment process.
This opportunity offers significant visibility across executive leadership and investment committees and would suit a candidate seeking meaningful influence in a purpose-driven, intellectually rigorous organisation.
Key Responsibilities
Strategic Leadership & Governance

  • Design and lead a best-in-class investment risk framework across asset classes, including equities, fixed income, credit, private equity, real assets, and multi-asset portfolios.
  • Act as a senior risk advisor to the CIO, CRO, and Executive Committee on matters related to market risk, liquidity, counterparty exposure, and risk-adjusted performance.
  • Provide regular investment risk oversight to the Board, Investment Committees, and Risk Committees.
Risk Analysis & Oversight
  • Ensure effective measurement, monitoring, and analysis of investment risk at both mandate and portfolio levels, with particular attention to private markets and alternative investments.
  • Lead the production and development of tailored risk reports using tools such as Barra, MSCI RiskMetrics, and in-house models to deliver insight to portfolio managers and senior stakeholders.
  • Oversee escalation protocols for risk breaches and performance anomalies, ensuring appropriate governance and challenge.
Team Management & Development
  • Build, mentor and lead a high-performing team of risk professionals focused on analytics, assurance, and reporting.
  • Foster a collaborative culture across risk and investment functions; embed a healthy and commercial risk mindset across first and second lines of defence.
  • Ensure strong succession planning and resourcing coverage across critical areas of the function.
Data, Models & Systems
  • Oversee enhancement of the risk infrastructure including data architecture, model validation, stress testing and scenario analysis.
  • Champion the development of dynamic tools and dashboards to support automated, timely risk reporting and actionable insights.
  • Support integration of new systems and methodologies, working closely with internal quant, IT, and portfolio analytics teams.
Stakeholder Engagement
  • Collaborate cross-functionally with investment teams, performance and attribution specialists, compliance, and finance.
  • Build trusted relationships across internal stakeholders and represent the function to key external advisors, auditors, and regulators.
  • Contribute to firmwide initiatives including policy development, balanced scorecards, and ESG risk considerations.
Candidate Profile
Required Skills & Experience
  • 10+ years of investment risk experience, ideally gained within asset management, pension schemes, sovereign wealth funds, or large institutional investors.
  • Proven leadership in managing risk across traditional and alternative asset classes, including private markets.
  • Strong working knowledge of regulatory frameworks (AIFMD, Solvency II, etc.) and investment governance structures.
  • Proficiency with risk systems (e.g. Barra, RiskMetrics, Bloomberg), and quantitative tools (e.g. Excel VBA, Python, R, SQL).
  • Strong presentation skills; ability to translate complex risk metrics into clear, actionable insights for investment and governance audiences.
  • Strong academic background; degree in Finance, Economics, Mathematics, or related discipline. CFA/FRM preferred.
Desired Attributes
  • Strategic thinker with a strong analytical foundation and commercial acumen.
  • Excellent interpersonal and communication skills; ability to engage and influence at all levels.
  • High attention to detail, with a proactive and organised approach to managing complex workloads.
  • Commitment to continuous improvement, with an interest in shaping how risk supports long-term value creation.
Why Apply?
  • Opportunity to shape and lead a high-impact investment risk function.
  • Close collaboration with executive leadership and investment decision-makers.
  • Exposure to a diverse, global, and complex investment portfolio.
  • Supportive and intellectually curious environment with a strong purpose-led culture.
  • Competitive compensation and benefits, tailored to seniority and experience.
To Apply
This search is being conducted on a confidential basis. For more information or to express interest in this opportunity, please contact our recruitment team directly; Josh Lawson or Georgina Carter. All applications will be handled with the utmost discretion.
N.B. Please note the budget which is restrictive and non-negotiable.
There is a tight timeline on this and I will be closing applications

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Job Detail

  • Job Id
    JD3550108
  • Industry
    Not mentioned
  • Total Positions
    1
  • Job Type:
    Full Time
  • Salary:
    Not mentioned
  • Employment Status
    Permanent
  • Job Location
    London, United Kingdom
  • Education
    Not mentioned