

Vice President, FX & FI Derivatives Hedging Risk Manager
Blackstone
London, UK
1 month ago
Salary
-- Experience
7+ years Type
Full-Time Strategy
Other Team
Risk Firm AUM
$1100B The FX & FI Derivatives Hedging Risk Manager role at Blackstone involves managing FX exposure for multiple funds and ensuring effective risk management. You will collaborate with various teams to execute transactions and analyze P&L for derivative products. This position offers a chance to work in a leading investment firm and contribute to innovative solutions in a dynamic environment.
What You’ll Do
- Review FX exposure for multiple funds and take action to manage risks.
- Execute FX transactions and support daily operations.
- Collaborate with teams to ensure accurate communication and processes.
- Calculate and explain P&L for derivative products.
- Identify process gaps and implement solutions for efficiency.
- Provide training and support for new team members.
What You Need
- Bachelor’s degree or equivalent experience.
- 7+ years in bank debt operations with strong knowledge of credit financial instruments.
- Ability to analyze problems and provide solutions.
- Strong leadership and team collaboration skills.
- Excellent communication skills for engaging with various stakeholders.
- Proficiency in MS Office, especially Excel.
What You’ll Love
- Be part of a leading global investment firm with a strong reputation.
- Work in a dynamic environment with a focus on innovation.
- Collaborate with talented professionals across various teams.
- Opportunities for professional growth and development.
About the Firm
- Blackstone is the world’s largest alternative asset manager.
- They manage over $1.1 trillion in assets across various investment vehicles.
- Focus on creating long-term value for investors and communities.
- Known for their expertise in credit and insurance investments.

