# Executive Director, Senior Equity Risk Manager at Morgan Stanley

Morgan Stanley is hiring an Executive Director, Senior Equity Risk Manager in New York, United States. It pays $200k-$300k a year and Level rates it Little AI ●○○○; you can [apply on Level](https://jobsbylevel.com/go/b85f765d-7bc6-4d65-a393-d739613dc37c).

AI Level 1, AI centrality 31 out of 100. New York, New York, United States of America.

## Details

- Company: [Morgan Stanley](https://jobsbylevel.com/companies/morgan-stanley)
- AI level: AI Level 1 (score 31 out of 100)
- Location: New York, New York, United States of America
- Salary: $200k-$300k
- Posted: October 9, 2026
- Apply: https://jobsbylevel.com/go/b85f765d-7bc6-4d65-a393-d739613dc37c

## Description

Morgan Stanley Investment Management (MSIM) is one of the largest global asset management organizations of any full-service securities firm, with more than 50 years of history, a presence in 26 countries, and a total of $1.9 trillion in assets under management as of March 31, 2026. MSIM provides broad-based specialization across a range of asset classes in public and private markets. Our independent investment teams leverage Morgan Stanley’s global resources to serve a diverse client base of governments, institutions, corporations, advisors and individuals worldwide. Our investment solutions include a broad range of alternatives, high-conviction active strategies, customization strategies, ESG expertise and tax management solutions. For further information about Morgan Stanley Investment Management, please visit www.morganstanley.com/im The Hedge Fund Solutions team constructs and manages hedge fund strategies, portfolios, and solutions on behalf of institutional and high net-worth clients through its various pooled vehicles (limited partnerships) and segregated accounts. Riverview Omni Fund LP (“Omni”) is a market and factor neutral multi-manager equity hedge fund within Hedge Fund Solutions. Launched in July 2021, Omni oversees approximately $2B AUM as of October 2026. Omni allocates capital to portfolio managers who run fundamental equity relative value and quantitative investment strategies. Omni is a multi-manager hedge fund platform, overseeing a portfolio of high-quality trading teams, specializing in long/short fundamental equities, quantitative, and non-correlated (“orthogonal”) trading strategies. The Fund, by design, is a market and factor managed platform covering of all the major GIC industries, quantitative equity and futures trading strategies (diversified across time horizons) and independent, relative value strategies with well-behaved distributional properties. The Fund’s primary investment objective is to provide investors consistent and attractive risk-adjusted returns with low correlation to global capital markets by investing in a variety of investment strategies and employing principles that seek to maximize active risk, minimize inter-manager correlations and manage overall volatility levels. The Fund management team seeks to achieve this investment objective by engaging and overseeing multiple investment managers and their respective portfolios, each of which is expected to operate within pre-existing investment and risk guidelines, employing one of the three broad strategies. The team allocates capital using a modified equal risk contribution methodology, targets total Fund volatility levels through the efficient gross deployment of capital, and manages unwanted market and factor exposures using an internally managed central trading layer portfolio. The Senior Equity Risk Manager will be joining the Central Trading and Risk Management team of a multi-manager, market-neutral equity hedge fund. This team partners directly with portfolio managers to optimize portfolio construction, manage risk, develop quantitative investment tools, and improve investment performance across the platform. This is a highly analytical and market-oriented role at the intersection of risk management, portfolio construction, quantitative research, and investing. As a senior member of the team, this individual will work closely with the Chief Investment Officer, Chief Risk Officer, Business Development team, and individual Portfolio Managers across the platform, while also playing a significant role in managing and developing the fund’s central trading and risk management infrastructure. The Senior Equity Risk Manager thinks like an investor and portfolio manager, while bringing the analytical discipline and independence required of a senior risk professional. The successful candidate is intellectually curious, collaborative, and enjoys solving complex investment problems using data and quantitative methods. They are equally

The description is cut here. Read the full offer: https://jobsbylevel.com/jobs/executive-director-senior-equity-risk-manager-at-morgan-stanley-a2e965

Source: https://jobsbylevel.com/jobs/executive-director-senior-equity-risk-manager-at-morgan-stanley-a2e965

## Cite this page

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