Experienced Manager of Private Markets Risk Quantitative Focus

OPTrust
Toronto, CA; US
Hybrid

Job Description

Position: Experienced Manager of Private Markets Risk With Quantitative Focus

Drive risk management as a Private Markets Investment Risk Manager. Use quantitative analysis to evaluate risks within private investments, all in a flexible hybrid model.

As a key member of the Investment Risk team, you'll focus on continuous improvement of risk assessment processes while leading a team of analysts. Your expertise in financial modeling and investment evaluations will be essential in shaping a robust governance framework. Strong communication will ensure impactful reporting.

Key Responsibilities:

  • Assess and report on private market investment risks
  • Draft risk opinion memos for transactions
  • Evaluate processes and implement improvements
  • Collaborate with investment teams for risk assessments
  • Train and mentor junior analysts

Requirements:

  • 5+ years in financial modeling, investment risk or valuations
  • Relevant advanced degree in Finance
  • Professional designations preferred (CFA, FRM)
  • Strong analytical abilities with data manipulation
  • Excellent communication and teamwork skills

Shape the risk landscape within private market investments by applying your expertise and leadership.

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Skills & Requirements

Technical Skills

Financial modelingInvestment riskValuationsData manipulationCfaFrmCommunicationTeamworkCfaFrmFinance

Level

senior

Posted

4/12/2026

Apply Now

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