# Prime Brokerage Risk Manager

**Company:** [Clear Street](https://hotfix.jobs/companies/clear-street)
**Location:** London, United Kingdom
**Role:** Finance & Accounting
**Experience:** 8+ years
**Skills:** Python, SQL, Prime Brokerage, Risk Management, Margin Management, Stress Testing, Options Pricing, Equities, Fixed Income, Bloomberg, Ice, Factset, Oms, Regulatory Capital Rules, Portfolio Risk
**Posted:** 2026-07-21

> Manages risk across global, multi-asset prime brokerage portfolios, including exposure monitoring, margin methodologies, stress testing, client risk reviews, and risk platform enhancements. Requires at least eight years of financial services experience, a bachelor’s degree, and expertise in equities and fixed income.

## Job Description

## Responsibilities
- Serve as a primary point of contact for clients, engaging in discussions around portfolio onboarding, risk reviews, and ongoing risk management.
- Monitor intraday and end-of-day risk exposures and margin requirements across client portfolios.
- Track global markets through OMS and risk systems, escalating material issues to senior management as needed.
- Develop and maintain margin, risk, and stress-testing methodologies.
- Generate and automate ad hoc reporting to highlight key risk factors and portfolio exposures.
- Communicate critical risk observations to senior risk management and external clients.
- Support initiatives related to the development and enhancement of the firm’s risk and margin platforms.
- Collaborate with technology, product, engineering, and cross-functional teams to improve risk management infrastructure and margin capabilities.

## Requirements
- At least 5 years of professional experience in prime brokerage risk, trading risk, or related roles covering equities and fixed income on the sell-side or buy-side.
- At least 8 years of overall professional experience in financial services.
- Bachelor’s degree in Finance, Economics, Mathematics, or Financial Engineering.
- Solid understanding of equity and fixed-income products, including fundamental options pricing and associated risk measures.
- Familiarity with regulatory frameworks and capital and margin rules applicable to risk management.
- Proficiency in Python and SQL preferred.
- Strong communication skills and the ability to engage confidently with clients and regulators.
- Demonstrated project management experience and ability to work closely with engineering and cross-functional teams.
- Analytical, detail-oriented, and quantitatively focused.
- Experience in risk policy development and implementation.
- Familiarity with Bloomberg, ICE, FactSet, or similar industry-standard tools.

## Benefits and Compensation
- Competitive compensation package.
- Company equity.
- Pension.
- Gender-neutral parental leave.
- Full medical and dental insurance.
- Hybrid arrangement requiring employees to work in the office at least three days per week.

## Similar jobs

- [Global Indirect Tax Manager](https://hotfix.jobs/jobs/686eb983-7860-4ecd-8ffa-294ccd9ff745) - Reddit - Remote - $155k – $217k/yr
- [Internal Audit - Regulatory Lead, EMEA](https://hotfix.jobs/jobs/196aa301-b70f-4927-b879-4ace68b7c8cc) - Stripe - London, United Kingdom
- [Financial Manager, EMEA GTM](https://hotfix.jobs/jobs/143ac2c6-89f9-4a06-a197-47c3e28c164a) - Twilio - Remote
- [Senior FP&A Analyst](https://hotfix.jobs/jobs/b1e75d22-362e-474f-a8d8-e58ec5b1b5b2) - Monarch - Remote - $140k – $160k/yr
- [Senior Manager, Accounting](https://hotfix.jobs/jobs/b0f0da0f-2446-4f94-b53d-3a988d152af4) - Virta Health - Remote - $129k – $167k/yr

**Apply:** https://hotfix.jobs/jobs/d83c5d2c-dda1-4fe6-8c8c-1dbfb407a311
**Canonical:** https://hotfix.jobs/jobs/d83c5d2c-dda1-4fe6-8c8c-1dbfb407a311