Man Group

Investment Compliance

Boston; Massachusetts, Massachusetts, United StatesFull time$100,000 - $120,000 / yearPosted 21 days ago
Apply on Man Group →

Sign into see who you know at Man Group.

About Man Group Man Group is a global alternative investment management firm focused on pursuing outperformance for sophisticated clients via our Systematic, Discretionary and Solutions offerings. Powered by talent and advanced technology, our single and multi-manager investment strategies are underpinned by deep research and span public and private markets, across all major asset classes, with a significant focus on alternatives. Man Group takes a partnership approach to working with clients, establishing deep connections and creating tailored solutions to meet their investment goals and those of the millions of retirees and savers they represent. Headquartered in London, we manage $228.7 billion* and operate across multiple offices globally. Man Group plc is listed on the London Stock Exchange under the ticker EMG.LN and is a constituent of the FTSE 250 Index. Further information can be found at www.man.com At Man Group, we respect your privacy and we are committed to protecting and safeguarding your Personal Data. We have developed policies and processes which are designed to provide for the security and integrity of your Personal Data. We are committed to Processing your Personal Data fairly and lawfully, and being open and transparent about such Processing. For further information on how we process your data, please see the privacy notice for applicants here * As at 31 March 2026   Job Profile Summary:Man Group's Financial Risk team is responsible for managing all aspects of business, credit, market and liquidity risk insofar as they relate to the risks of Man Group (as distinct from the risks faced by third party investors in the investment products managed by Man).Responsibilities:The identification, measurement and mitigation of business, credit, market and liquidity risksProvide independent risk oversight of FRM, AHL and for the Structured ProductsDevelopment of risk appetite and limit frameworks and monitoring of risks in accordance with these frameworksEconomic capital reporting and analysis (+ ICAAP submission)Development and maintenance of methodologies, models, systems and policies in support of this (including the operational risk model)Oversight of structured products - monitor risk of Loans to Funds, transparency into monthly rebalance, impact on Illiquid buyout pipeline and Man's liquidity requirements, review of new productsInvestment risk to AHL and FRM businesses and oversight of risks and risk functions - as an alternate to managerOversee process improvements into counterparty monitoring and exposure reporting, liaising with Tech & Ops as appropriateReview and improvement of Economic Capital models within constraints of E&Y Model Review (Investment book, Credit, Market-FX, Pension fund)Key Skills & Experience:Full technical understanding of risk management tools and techniques: including statistical distributions, VAR, Stress testingBroad understanding of hedge fund styles and instruments used to tak...