JS Investments Limited Jobs Assistant Manager / Manager Risk Management:
Organization: JS Investments Limited
𝐉𝐨𝐛 𝐓𝐢𝐭𝐥𝐞: 𝐀𝐬𝐬𝐢𝐬𝐭𝐚𝐧𝐭 𝐌𝐚𝐧𝐚𝐠𝐞𝐫/𝐌𝐚𝐧𝐚𝐠𝐞𝐫 – 𝐑𝐢𝐬𝐤 𝐌𝐚𝐧𝐚𝐠𝐞𝐦𝐞𝐧𝐭
𝐃𝐞𝐩𝐚𝐫𝐭𝐦𝐞𝐧𝐭: 𝐂𝐨𝐦𝐩𝐥𝐢𝐚𝐧𝐜𝐞 & 𝐑𝐢𝐬𝐤 𝐌𝐚𝐧𝐚𝐠𝐞𝐦𝐞𝐧𝐭
𝐋𝐨𝐜𝐚𝐭𝐢𝐨𝐧: 𝐊𝐚𝐫𝐚𝐜𝐡𝐢,
𝐏𝐨𝐬𝐢𝐭𝐢𝐨𝐧 𝐓𝐲𝐩𝐞: 𝐅𝐮𝐥𝐥-𝐭𝐢𝐦𝐞
Interested candidates can send their resume to careers@jsil.com. with “Risk Management – Karachi” in the subject line.
𝐏𝐨𝐬𝐢𝐭𝐢𝐨𝐧 𝐎𝐯𝐞𝐫𝐯𝐢𝐞𝐰:
We are seeking a highly motivated & detail-oriented individual for the position of Assistant Manager/ Manager Risk. This individual will support the development & implementation of a comprehensive risk management framework across our portfolio of managed funds. The role entails preparing risk analytics, developing and enhancing risk models, conducting credit risk assessments, & monitoring interest rate sensitivities and market exposures.
𝐊𝐞𝐲 𝐑𝐞𝐬𝐩𝐨𝐧𝐬𝐢𝐛𝐢𝐥𝐢𝐭𝐢𝐞𝐬:
Risk Identification & Assessment: Analyze financial, operational, and market data to identify current & emerging risks across investment vehicles.
Model Development & Stress Testing: Support the development and validation of risk models to assess market, credit, and liquidity exposures, including stress testing.
Portfolio Analytics & Reporting: Prepare regular risk reports and dashboards with threshold monitoring, benchmark analysis, and deviation tracking for management and investment teams.
Interest Rate & Credit Risk Monitoring: Assess interest rate & credit risks of instruments, counterparties, and issuers. Monitor economic and sector trends affecting creditworthiness.
Regulatory Compliance: Ensure adherence to regulatory standards & internal limits. Coordinate with Compliance and Legal to address regulatory risk issues.
Cross-functional Collaboration: Partner with Investment, Research, & Operations teams to align risk practices & promote risk awareness across the firm.
𝐄𝐝𝐮𝐜𝐚𝐭𝐢𝐨𝐧:
Bachelor’s degree in Computational Finance, Business Administration (with a major in Financial Modelling & Risk Management), or a related quantitative discipline is required. A Master’s degree (MBA with a focus on Financial Modelling or Risk Management) or professional certifications (e.g., ACCA, FRM, CFA Level II or higher) will be a strong advantage.
𝐄𝐱𝐩𝐞𝐫𝐢𝐞𝐧𝐜𝐞:
Minimum of 2–3 years of hands-on experience in a risk analysis, financial modelling, or investment risk-related role, preferably within the financial services industry.
𝐖𝐡𝐲 𝐉𝐨𝐢𝐧 𝐔𝐬?
We offer an intellectually stimulating environment where analytical thinking, rigor, and innovation are valued. As part of a growing risk management function, this role provides excellent exposure to various asset classes and risk types, allowing for substantial professional growth.
We are proud to be an equal opportunity employer and value diversity at our company.