Head of Investment Risk
Job Title: Head of Investment Risk
Location: London
Client: Confidential (Institutional Asset Manager)
Employment Type: Full-Time | Permanent
Reports to: Chief Risk Officer (CRO)
Overview
We are working exclusively on behalf of ahighly reputable institutional asset manager to identify an experienced Head of Investment Risk. This is a pivotal leadership role within a well-resourced and growing investment function. The successful candidate will be responsible for overseeing the full spectrum of investment risk—spanning public and private markets—and will lead a team focused on providing proactive insight, control, and challenge to the investment process.
This opportunity offers significant visibility across executive leadership and investment committees and would suit a candidate seeking meaningful influence in a purpose-driven, intellectually rigorous organisation.
Key Responsibilities
Strategic Leadership & Governance
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- Design and lead a best-in-class investment risk framework across asset classes, including equities, fixed income, credit, private equity, real assets, and multi-asset portfolios.
- Act as a senior risk advisor to the CIO, CRO, and Executive Committee on matters related to market risk, liquidity, counterparty exposure, and risk-adjusted performance.
- Provide regular investment risk oversight to the Board, Investment Committees, and Risk Committees.
Risk Analysis & Oversight
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- Ensure effective measurement, monitoring, and analysis of investment risk at both mandate and portfolio levels, with particular attention to private markets and alternative investments.
- Lead the production and development of tailored risk reports using tools such as Barra, MSCI RiskMetrics, and in-house models to deliver insight to portfolio managers and senior stakeholders.
- Oversee escalation protocols for risk breaches and performance anomalies, ensuring appropriate governance and challenge.
Team Management & Development
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- Build, mentor and lead a high-performing team of risk professionals focused on analytics, assurance, and reporting.
- Foster a collaborative culture across risk and investment functions; embed a healthy and commercial risk mindset across first and second lines of defence.
- Ensure strong succession planning and resourcing coverage across critical areas of the function.
Data, Models & Systems
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- Oversee enhancement of the risk infrastructure including data architecture, model validation, stress testing and scenario analysis.
- Champion the development of dynamic tools and dashboards to support automated, timely risk reporting and actionable insights.
- Support integration of new systems and methodologies, working closely with internal quant, IT, and portfolio analytics teams.
Stakeholder Engagement
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- Collaborate cross-functionally with investment teams, performance and attribution specialists, compliance, and finance.
- Build trusted relationships across internal stakeholders and represent the function to key external advisors, auditors, and regulators.
- Contribute to firmwide initiatives including policy development, balanced scorecards, and ESG risk considerations.
Candidate Profile
Required Skills & Experience
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- 10+ years of investment risk experience, ideally gained within asset management, pension schemes, sovereign wealth funds, or large institutional investors.
- Proven leadership in managing risk across traditional and alternative asset classes, including private markets.
- Strong working knowledge of regulatory frameworks (AIFMD, Solvency II, etc.) and investment governance structures.
- Proficiency with risk systems (e.g. Barra, RiskMetrics, Bloomberg), and quantitative tools (e.g. Excel VBA, Python, R, SQL).
- Strong presentation skills; ability to translate complex risk metrics into clear, actionable insights for investment and governance audiences.
- Strong academic background; degree in Finance, Economics, Mathematics, or related discipline. CFA/FRM preferred.
Desired Attributes
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- Strategic thinker with a strong analytical foundation and commercial acumen.
- Excellent interpersonal and communication skills; ability to engage and influence at all levels.
- High attention to detail, with a proactive and organised approach to managing complex workloads.
- Commitment to continuous improvement, with an interest in shaping how risk supports long-term value creation.
Why Apply?
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- Opportunity to shape and lead a high-impact investment risk function.
- Close collaboration with executive leadership and investment decision-makers.
- Exposure to a diverse, global, and complex investment portfolio.
- Supportive and intellectually curious environment with a strong purpose-led culture.
- Competitive compensation and benefits, tailored to seniority and experience.
To Apply
This search is being conducted on a confidential basis. For more information or to express interest in this opportunity, please contact our recruitment team directly; Josh Lawson or Georgina Carter. All applications will be handled with the utmost discretion.
N.B. Please note the budget which is restrictive and non-negotiable.
There is a tight timeline on this and I will be closing applications
We seek individuals from a diverse talent pool and encourage applicants from underrepresented groups to apply to our vacancies. Our commitment to fair recruitment processes means that we welcome applicants from all backgrounds, regardless of their lived experience or personal characteristics. We also invite applicants who meet most of the listed requirements, even if not all, to apply. If you require any adjustments to the application process, please let us know.
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