VP, Hedge Fund Credit Officer

New York, New York Permanent $150,000 - $200,000 per year View Job Description
The Vice President, Hedge Fund Credit Risk supports the risk oversight of hedge fund clients within a prime brokerage platform. The role focuses on counterparty credit assessment, exposure monitoring, margin and liquidity risk, and ongoing portfolio surveillance across complex trading and financing activities.
  • Senior ownership of hedge fund credit risk across prime brokerage
  • High exposure to trading, financing and senior stakeholders

About Our Client

Large bank based in Midtown.

Job Description

Hedge Fund Credit Risk Oversight

  • Perform credit analysis and ongoing risk assessment of hedge fund counterparties across prime brokerage products.
  • Evaluate fund structures, strategies, leverage, liquidity profiles and risk concentrations.
  • Approve and monitor credit limits, margin requirements and financing terms in line with risk appetite.
  • Review fund performance, NAV movements, drawdowns and stress scenarios to identify emerging risks.



Prime Brokerage & Financing Exposure

  • Oversee credit risk related to margin lending, securities financing, derivatives and synthetic prime brokerage.
  • Monitor counterparty exposures, collateral coverage and margin sufficiency under normal and stressed conditions.
  • Partner with front office to support new client onboarding, product expansion and structuring discussions.
  • Assess impact of market volatility on hedge fund portfolios and financing arrangements.



Risk Monitoring & Governance

  • Conduct ongoing portfolio surveillance, including limit utilisation, concentration risk and wrong‑way risk.
  • Escalate credit concerns and recommend risk mitigation actions, including margin calls or exposure reductions.
  • Prepare credit memos, risk assessments and materials for senior risk committees.
  • Ensure adherence to internal risk frameworks, policies and regulatory expectations.



Stakeholder Management

  • Act as a key risk partner to Prime Brokerage, Sales, Trading, Operations and Legal teams.
  • Provide clear, actionable risk guidance while supporting commercial objectives.
  • Contribute to process enhancements, risk analytics improvements and control initiatives.

The Successful Applicant

  • Bachelor's degree in Finance, Economics, Mathematics or a related discipline.
  • Typically 8-12+ years of experience in credit risk, counterparty risk or prime brokerage risk.
  • Strong understanding of hedge fund strategies, leverage, derivatives and securities financing.
  • Proven experience assessing margining, collateral and exposure management.
  • Excellent analytical, judgement and problem‑solving skills.
  • Strong communication skills with the ability to challenge constructively and influence senior stakeholders.
  • Experience working in fast‑paced, market‑driven environments.

What's on Offer

  • $150,000 - $200,000 base salary.
Contact
Lauren VanManen
Quote job ref
JN-042026-6997098

Job summary

Function
CFO & Financial Management
Subsector
CFO & Financial Management Subsector
Industry
Financial Services
Location
New York
Contract type
Permanent
Consultant name
Lauren VanManen
Job reference
JN-042026-6997098

About Page Executive

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