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Investment Risk Analyst

Job in Greater London, London, Greater London, W1B, England, UK
Listing for: Janus Henderson Global Investors
Full Time position
Listed on 2026-02-28
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Financial Consultant
Salary/Wage Range or Industry Benchmark: 80000 - 100000 GBP Yearly GBP 80000.00 100000.00 YEAR
Job Description & How to Apply Below
Location: Greater London

Why work for us?

A career at Janus Henderson is more than a job, it’s about investing in a brighter future together.

Our Mission at Janus Henderson is to help clients define and achieve superior financial outcomes through differentiated insights, disciplined investments, and world-class service. We will do this by protecting and growing our core business, amplifying our strengths and diversifying where we have the right.

Our Values are key to driving our success, and are at the heart of everything we do:

Clients Come First - Always | Execution Supersedes Intention | Together We Win | Diversity Improves Results | Truth Builds Trust

If our mission, values, and purpose align with your own, we would love to hear from you!

Your opportunity
  • Support Risk Managers in their role of helping Portfolio Managers improve the risk/return profile delivered to investors

  • Contribute to the identification of risks in the portfolios covered, escape to resolve issues and develop analytics and/or automate existing analytics on the desk

  • Report into a senior member of the team to help oversee the broad group of portfolios. Although the role will have a specific asset class focus, we will make every effort to allow exposure to other asset classes worked on within the team

  • Assist with processes to ensure that accurate risk analytics are available on a timely basis

  • Analyse risk attribution reports for use by Portfolio Managers, Global Head of Investment Risk, Asset Class Heads and other interested users of the data such as senior management, marketing and compliance

  • Work with Risk Managers in covering all aspects of investment risk, performance and other relevant metrics to ensure portfolios are managed in the client’s best interest

  • Partner with investment teams on fund structuring and portfolio optimization strategies

  • Support implementation and development of quantitative solutions for risk management

  • Enhance the infrastructure supporting the generation of risk reports across different asset classes

  • Carry out other duties as assigned

What to expect when you join our firm
  • Hybrid working and reasonable accommodations

  • Generous Holiday policies

  • Excellent Health and Wellbeing benefits including corporate membership to Class Pass

  • Paid volunteer time to step away from your desk and into the community

  • Support to grow through professional development courses, tuition/qualification reimbursement and more

  • All-inclusive approach to Diversity, Equity and Inclusion

  • Maternal/paternal leave benefits and family services

  • Complimentary subscription to Headspace – the mindfulness app

  • All employee events including networking opportunities and social activities

  • Lunch allowance for use within our subsidized onsite canteen

Must have skills
  • Educated to degree level or equivalent

  • A strong understanding of fund risks and risk systems, as well as the strengths and weaknesses of them

  • Knowledge of risk models and concepts such as tracking error, VaR, and stress testing methodologies

  • Knowledge of Python, SQL, Excel, VBA

  • Good knowledge of capital markets and the fixed income asset class

  • Some knowledge of derivatives (types, valuation/pricing, risks)

  • Experience in a similar buy side market risk role preferable, market risk experience on the sell side will also be considered

  • High degree of numeracy and quantitative skills

  • Excellent communication/interpersonal skills and the ability to build strong working relationships with fund managers and internal clients

  • Strong attention to detail and the ability to plan and organise own workload to perform both routine and ad hoc tasks

  • Ability to assimilate knowledge quickly with a desire to improve knowledge of all Janus Henderson products/funds

  • A flexible approach with the ability to think laterally

Nice to have skills
  • Working towards CFA or other professional qualification is an advantage

  • Experience in a similar buy side market risk role preferable, market risk experience on the sell side will also be considered

  • Some knowledge of Bloomberg, Aladdin, Risk Metrics, Barra or similar systems beneficial

Investment areas
  • Has responsibility for supporting portfolios in the Fixed Income Asset Class

Supervisory responsibilities
  • No

Potential for growth
  • Mentoring

  • Leade…

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