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Manager of Capital Markets Risk

Hoopp-

toronto, on, Canada Full-time June 24, 2026

Found Description

Lead the analysis of market risks as the Manager of Capital Markets Risk at HOOPP. This role combines quantitative skills with strategic oversight to enhance investment decisions.
In this pivotal position, you will focus on monitoring and communicating market risks across the Fund, particularly for Capital Markets strategies. Collaborating with investment teams, you will provide insights that inform risk-aware decisions. Your work will also involve the development of risk metrics and analytical tools to further strengthen the team’s capabilities.
Key Responsibilities:
• Assess market risks and sensitivities in real time
• Conduct scenario analysis and stress tests for portfolios
• Create risk dashboards to improve monitoring processes
• Foster relationships with investment and risk stakeholders
• Employ AI and automation for enhanced analytical efficiency
Requirements:
• 5+ years in investment risk management or related roles
• Sound knowledge of financial...

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