HW3
VP – Hedge Fund Credit Analyst | Global Risk Department
Location:
New York, NY (4 days in office)
Are you ready to take your credit risk expertise to the next level?
We’re seeking a
Vice President, Hedge Fund Credit Analyst
to join our
Hedge Funds Risk Department
— a vital second line of defence managing counterparty risk across hedge funds, proprietary trading groups, regulated funds, and central clearing counterparties.
This is a
high-impact VP role
at the crossroads of
global markets, risk strategy, and client engagement , offering the opportunity to influence firmwide risk decisions and drive best-in-class risk practices.
What You’ll Do:
Lead credit risk assessments and exposure monitoring across hedge fund clients
Conduct in-depth due diligence and assign client ratings
Manage credit lines, set limits, and monitor exposures
Negotiate credit terms in
ISDA, GMRA, Prime Brokerage, and Clearing
agreements
Perform ongoing surveillance and breach management
Partner with business lines to enhance risk frameworks, governance, and controls
What We’re Looking For:
3+ years’ experience
in hedge fund counterparty credit or investment risk
Deep understanding of
hedge fund structures, strategies, and associated risks
Knowledge of
derivatives, prime brokerage, and fund financing
Skilled in reviewing and negotiating
legal documentation
(ISDA, GMRA, term sheets)
Bachelor’s degree in Finance or a related field
(Master’s preferred)
Exceptional
analytical, communication, and stakeholder management
skills
Why Join Us? Be part of a
global institution
where
risk excellence meets market innovation
— and where your insights directly shape our approach to managing hedge fund credit exposure. You’ll join a collaborative, high-performing team that sits at the heart of the firm’s risk management strategy.
Apply Today
and share an updated resume with:
R.jacobie@hwthree.com
and
J.McCallum@hwthree.com
#J-18808-Ljbffr
New York, NY (4 days in office)
Are you ready to take your credit risk expertise to the next level?
We’re seeking a
Vice President, Hedge Fund Credit Analyst
to join our
Hedge Funds Risk Department
— a vital second line of defence managing counterparty risk across hedge funds, proprietary trading groups, regulated funds, and central clearing counterparties.
This is a
high-impact VP role
at the crossroads of
global markets, risk strategy, and client engagement , offering the opportunity to influence firmwide risk decisions and drive best-in-class risk practices.
What You’ll Do:
Lead credit risk assessments and exposure monitoring across hedge fund clients
Conduct in-depth due diligence and assign client ratings
Manage credit lines, set limits, and monitor exposures
Negotiate credit terms in
ISDA, GMRA, Prime Brokerage, and Clearing
agreements
Perform ongoing surveillance and breach management
Partner with business lines to enhance risk frameworks, governance, and controls
What We’re Looking For:
3+ years’ experience
in hedge fund counterparty credit or investment risk
Deep understanding of
hedge fund structures, strategies, and associated risks
Knowledge of
derivatives, prime brokerage, and fund financing
Skilled in reviewing and negotiating
legal documentation
(ISDA, GMRA, term sheets)
Bachelor’s degree in Finance or a related field
(Master’s preferred)
Exceptional
analytical, communication, and stakeholder management
skills
Why Join Us? Be part of a
global institution
where
risk excellence meets market innovation
— and where your insights directly shape our approach to managing hedge fund credit exposure. You’ll join a collaborative, high-performing team that sits at the heart of the firm’s risk management strategy.
Apply Today
and share an updated resume with:
R.jacobie@hwthree.com
and
J.McCallum@hwthree.com
#J-18808-Ljbffr