A leading investment fund is seeking a liquidity risk specialist to join their investment risk team. The fund undertakes diverse investments globally including in bonds and equities so a good understanding of these is essential. You will be working in a small team undertaking liquidity and other risk modelling, stress testing and scenario analysis, and analysing and forecasting liquidity positions.The role will require previous technical risk management experience in an asset manager, with excellent excel skills and some programming experience, ideally in python. You will be working in a highly professional environment that can offer excellent development opportunities.