New York City, United States of America Hybrid Employment $200,000 - $200,000 USD

MIO Partners is hiring a Senior Trading Risk Manager

About the Role

Role Overview

Lead the risk management function for a sophisticated commodity trading portfolio with a focus on macro-level supply, demand, and storage factors. Reporting to the Head of Macro Trading Risk, this position plays a central role in evaluating and communicating risk exposures, supporting strategic decision-making, and acting as a trusted advisor across risk and investment teams. The role also includes backup responsibilities for the Head and expanding oversight into non-commodity asset classes.

Key Responsibilities

  • Assess and clearly articulate potential losses tied to individual trades, thematic positions, and the overall commodity portfolio.
  • Evaluate stress test outcomes in light of current market conditions and supplement with forward-looking analyses to form reasoned views on risk exposure and sensitivity.
  • Collaborate with portfolio managers, the CRO, and the CIO to deepen understanding of risk drivers and support mitigation strategies.
  • Support risk governance by advising on exceptions to investment guidelines and monitoring adherence to risk appetite.
  • Enhance risk analytics frameworks by refining models, integrating new data sources, and improving methodologies for VaR, CVaR, Greeks, and scenario analysis.
  • Investigate liquidity dynamics across markets, accounting for seasonality, maturity effects, and stress environments.
  • Ensure timely delivery of risk reports and contribute to the evolution of market risk appetite in coordination with senior leadership.
  • Expand risk oversight beyond commodities and assist in shaping firm-wide risk practices.

Qualifications

  • Minimum of 7 years in commodities trading or risk management at a hedge fund or financial institution.
  • Deep knowledge of commodity markets, trading strategies, and risk modeling principles.
  • Strong grasp of probability, statistics, and their application to financial risk assessment.
  • Proven ability to challenge assumptions, identify model limitations, and synthesize complex information into clear insights.
  • Excellent communication skills with the capacity to build trust across technical and investment teams.
  • Self-directed thinker who prioritizes high-impact analysis and adapts quickly in a dynamic setting.
  • Comfortable working with multi-asset risk platforms such as RiskMetrics and Aladdin.
  • Bachelor’s degree in mathematics, physics, economics, engineering, computer science, or related field; advanced degree preferred.
  • Professional certifications such as CFA, FRM, or PRMIA are advantageous.
  • Authorization to work in the U.S. without sponsorship now or in the future is required.

Work Environment

This role operates within a hybrid model, combining in-office collaboration in New York City with remote flexibility. The culture emphasizes intellectual rigor, continuous learning, ethical integrity, and inclusive teamwork. The firm values analytical depth, independent thinking, and a commitment to investor-aligned outcomes.

Required Skills
RiskMetricsAladdincommodity marketscommodity trading strategiesfinancial risk managementprobability and statisticsrisk analysisportfolio managementstrategic thinkingcommunicationanalytical reasoning RiskMetricsAladdincommodity marketscommodity trading strategiesfinancial risk managementprobability and statisticsrisk analysisportfolio managementstrategic thinkingcommunicationanalytical reasoning
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About company
MIO Partners

MIO Partners Inc. (MIO) is a global investment and advisory institution with decades of experience guiding clients through multiple market cycles. It is a subsidiary of McKinsey & Company and a registered investment adviser regulated by the U.S. Securities and Exchange Commission.

MIO provides objective advice on long-term wealth building and creates distinctive investment products that aim to deliver value over market-based benchmarks. The firm manages approximately $20 billion in assets across public and private markets, primarily through third-party managers in hedge funds, private equity, and alternative investments, while also pursuing internally managed macro trading strategies.

MIO's services include wealth advisory for McKinsey partners and investment management focused on risk-adjusted returns. Its operations are intentionally separated from McKinsey’s consulting business to avoid conflicts of interest, and it adheres to strict governance, compliance, and ethical standards.

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Job Details
Department Risk
Category other
Posted 3 hours ago