Full-Time

Risk Manager

Updated on 9/4/2026

Caxton Associates

Caxton Associates

1-10 employees

Global macro investment management

No salary listed

Bengaluru, Karnataka, India

In Person

Bachelor's

Category
Finance & Banking (1)
Required Skills
Python
SQL
Risk Management

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Requirements
  • A college degree in Mathematics, Engineering, Computational Finance, or Economics is preferred.
  • At least 10 years of experience in market risk management or portfolio risk, ideally at a macro hedge fund, multi-asset fund, or investment bank.
  • Broad-based knowledge of financial products, including derivatives.
  • Strong understanding of global macro strategies across rates, foreign exchange, equities, credit, and commodities.
  • Strong SQL skills.
  • Hands-on experience with trading limits, risk controls, and escalation processes.
  • Proficient knowledge of financial mathematics and market risk measurement techniques.
  • Ability to communicate clearly and concisely in both technical and layperson terms.
Responsibilities
  • Review and assess the evolving risk profile of the firm and individual strategies.
  • Act as the primary risk contact for regional portfolio managers during local market hours.
  • Engage directly with portfolio managers on scenario analysis, stress testing, and portfolio construction trade-offs.
  • Assess the skill of individual trading teams.
  • Provide ongoing risk commentary and market analysis.
  • Contribute to the enhancement of risk infrastructure and provide new and innovative risk management measures and frameworks in coordination with global risk teams.
  • Contribute to risk committee reporting and broader risk framework development initiatives.
Desired Qualifications
  • Python skills.
  • Experience with MSCI RiskMetrics, Axioma Equity Factor Model, or Orchestrade.

Caxton Associates is a investment management firm. It manages investment funds through macroeconomic research, discretionary and quantitative strategies, trading, and portfolio risk management. The firm works on behalf of fund investors and institutional counterparties across global financial markets. Its model brings portfolio managers, analysts, quantitative researchers, traders, technologists, risk specialists, and operational teams into a controlled investment process. Work spans investment research, portfolio management, quantitative analysis, trading, risk, technology, finance, and operations.

Company Size

1-10

Company Stage

N/A

Total Funding

$48.6M

Headquarters

New York City, New York

Founded

1983

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Simplify Jobs

Simplify's Take

What believers are saying

  • SEC approval on June 23, 2026 opens U.S. institutional fundraising channels.
  • Q2 2026 13F value reached $5.3B, with reported portfolio gains.
  • Caxton still trades across 730 disclosed positions, enabling diversified returns and hedging.

What critics are saying

  • March 2026 wiped $1.3B from Caxton's flagship macro fund in weeks.
  • Another wrong-way macro call can trigger redemptions and prime-broker cuts by 2027.
  • Political-adviser scrutiny around Dowden invites compliance headaches and reputational damage.

What makes Caxton Associates unique

  • Andrew Law's London macro platform registered with SEC on June 23, 2026.
  • Caxton managed $71.56B regulatory AUM as of June 15, 2026.
  • Oliver Dowden joined November 2, 2024, adding political and policy intelligence.

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