Wellington Management offers comprehensive investment management capabilities that span nearly all segments of the global capital markets. Our investment solutions, tailored to the unique return and risk objectives of institutional clients in more than 50 countries, draw on a robust body of proprietary research and a collaborative culture that encourages independent thought and healthy debate. As a private partnership, we believe our ownership structure fosters a long-term view that aligns our perspectives with those of our clients.
Wellington Funds Group ("WFG") sponsors and oversees funds across equity, fixed income, multi-asset, and alternative strategies, offered to Wellington Management clients across the globe. The group is responsible for overseeing all aspects of these funds, including fund governance, product development, risk management, marketing, operations, and servicing of fund investors. Within WFG, the risk group's mission is to ensure each of our funds is managed in line with our clients' and regulators' investment expectations. The Investment Risk Analyst will collaborate with WFG colleagues, product management, investment risk, and IT professionals to define baseline risk monitoring expectations across all WFG product types encompassing oversight of performance, investment exposure, liquidity, counterparty, and other investment-related risks, build an effective ongoing monitoring platform, and identify and help resolve risk issues across the funds.
Important success factors for the Investment Risk Analyst include a broad understanding of and a strong interest in asset management across all asset classes; a solid understanding of technology including database structures and visualization tools; sound business judgment; knowing when to act independently and when to seek a broader audience; project management skills with an emphasis on IT projects; and strong analytical ability. The Investment Risk Analyst will be expected to establish collaborative working relationships with all levels of management within WFG and other functional groups at Wellington Management, including Product Management, Investment Strategy & Risk, and Information Technology.
This Boston-based position will work alongside, and report directly to, WFG's Director of Risk Management.
The successful candidate will possess the following qualifications:
Minimum of 5-7 years of experience in portfolio management, risk management, or product management
Proficient understanding of financial markets, asset classes, security attributes, and fund operations
Strong analytical and problem solving skills
Technical ability to manipulate data for decision-making purposes, and solid working knowledge of visualization tools such as Tableau or Spotfire
Highly organized, with a demonstrated proficiency to manage, prioritize and complete multiple projects simultaneously
Ability to both work independently, and partner effectively with others, to develop relationships across the organization, and to motivate others to action amongst competing priorities
Creativity, thoroughness, attention to detail, and high energy
A CFA and/or MBA is preferred
Strong fit with the firm's cultural tenets of inclusivity, collaboration, accountability, and collegiality
JOB TITLE Investment Risk Analyst
JOB FAMILY Investment Risk Services
LOCATION 280 Congress
As an equal opportunity employer, Wellington Management considers all qualified applicants will receive consideration for employment without regard to race, color, sex, sexual orientation, gender identity, gender expression, religion, creed, national origin, age, ancestry, disability (physical or mental), medical condition, citizenship, marital status, pregnancy, veteran or military status, genetic information or any other characteristic protected by applicable law. If you are a candidate with a disability, or are assisting a candidate with a disability, and require an accommodation to apply for one of our jobs, please email us at Wellington@icareerhelp.com .