Description
Invesco is hiring a full-time Portfolio Risk Analyst to monitor and manage portfolio risk, analyze market, liquidity, and concentration risk, report to investment committees and senior leaders, and develop proprietary risk measurement and mitigation approaches. The role requires 1–3 years of investment management experience, fixed-income and risk-model knowledge, strong statistical programming and data-analysis skills, and familiarity with Python, R, SQL, and visualization tools. The position is exempt and follows a hybrid workplace model requiring at least four full days per week in an Invesco office.
