DV Group is seeking a Risk Analytics Manager to join their Risk team in London. The Risk Analytics Manager will play a critical role in ensuring the integrity of data across in-house and third-party risk systems. The ideal candidate will possess a strong background in risk management, combined with hands-on experience in software development and data engineering.
Responsibilities:
Develop, validate, and maintain risk reporting tools and dashboards
Design and enhance risk metrics and reports to support trading decisions and risk oversight
Collaborate with stakeholders across trading, technology, and risk
Oversee the quality and consistency of data used in internal and external risk systems and processes
Troubleshoot and improve data ingestion, transformation, and analysis pipelines
Keep track of and communicate the key assumptions and methods used in the analytics
Requirements:
5+ years of experience in a risk analytics or similar role within a financial institution
Strong programming and scripting skills in Python and SQL
Deep understanding of financial instruments, trading strategies, and risk measures
Hands-on experience with risk systems, data pipelines, and analytics platforms
Proven ability to translate complex data into meaningful risk insights and visualizations
Excellent communication skills and attention to detail
Experience working in fast-paced, high-stakes environments
Bachelor's degree required, preferably in Finance, Economics, Accounting, or STEM fields
DV Trading is a Chicago-based, independent proprietary trading firm with over 450 employees across North America and Europe. Founded over 15 years ago, the company utilizes its own capital, trading strategies, and risk management methodologies to provide liquidity to worldwide financial markets and hedging opportunities to commodity producers and users. The DV Group encompasses affiliated entities, including broker dealers, a cryptocurrency market making firm, and an investment adviser.