Fidelity Investments

Manager, Quantitative Risk Analysis

Fidelity Investments

Merrimack, NH, USA
Full-TimeDepends on ExperienceSenior LevelMasters
Job Description

Welcome to Fidelity Investments, where we are dedicated to helping our clients achieve their financial goals. As a Manager of Quantitative Risk Analysis, you will play a crucial role in identifying, assessing, and managing risks within our organization. We are seeking a highly analytical and detail-oriented individual with a strong understanding of financial markets and risk management principles. If you possess exceptional communication and leadership skills, along with a passion for driving results, we would love to have you join our team. Keep reading to learn more about this exciting opportunity.

  1. Conduct quantitative risk analysis to identify potential risks within the organization's financial operations.
  2. Develop and implement risk management strategies to mitigate identified risks.
  3. Monitor financial markets and industry trends to stay informed of potential risks and adjust strategies accordingly.
  4. Collaborate with key stakeholders and departments to ensure risk management strategies align with overall business objectives.
  5. Utilize advanced statistical and financial modeling techniques to assess the impact of potential risks on the organization.
  6. Prepare and present risk reports to senior management to facilitate informed decision-making.
  7. Lead a team of risk analysts and provide mentorship and guidance to support their professional growth.
  8. Continuously review and improve risk management processes to ensure they are in line with industry best practices.
  9. Communicate effectively with internal and external stakeholders to provide updates and address any concerns related to risk management.
  10. Stay up-to-date with regulatory requirements and ensure compliance with all relevant laws and regulations.
Where is this job?
This job is located at Merrimack, NH, USA
Job Qualifications
  • Excellent Communication And Presentation Skills, With The Ability To Effectively Communicate Complex Quantitative Concepts To Non-Technical Stakeholders.

  • Bachelor's Or Master's Degree In A Relevant Field Such As Finance, Economics, Mathematics, Or Statistics.

  • Minimum Of 5 Years Of Experience In Quantitative Risk Analysis Within The Financial Services Industry.

  • Strong Knowledge And Understanding Of Risk Management Principles, Methodologies, And Regulatory Requirements.

  • Proficiency In Statistical And Data Analysis Tools Such As Sas, R, Or Python.

Required Skills
  • Risk Management

  • Data Analysis

  • Market Research

  • statistical analysis

  • Financial Modeling

  • Quantitative Analysis

  • Portfolio Management

  • Risk assessment

  • Scenario Analysis

  • Performance

  • Risk reporting

  • Investment Strategies

Soft Skills
  • Communication

  • Conflict Resolution

  • Customer Service

  • Emotional Intelligence

  • Leadership

  • Time management

  • creativity

  • Teamwork

  • Adaptability

  • Problem-Solving

Compensation

According to JobzMall, the average salary range for a Manager, Quantitative Risk Analysis in Merrimack, NH, USA is $105,000 - $130,000 per year. This may vary depending on the specific company, industry, and experience level of the individual.

Additional Information
Fidelity Investments is an Equal Opportunity Employer. We celebrate diversity and are committed to creating an inclusive environment for all employees. We do not discriminate based upon race, religion, color, national origin, sex, sexual orientation, gender identity, age, status as a protected veteran, status as an individual with a disability, or other applicable legally protected characteristics.
Required LanguagesEnglish
Job PostedJanuary 30th, 2024
Apply BeforeMay 22nd, 2025
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About Fidelity Investments

Fidelity Investments Inc., commonly referred to as Fidelity, earlier as Fidelity Management & Research or FMR, is an American multinational financial services corporation based in Boston, Massachusetts.

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