Would you like to join one of the world's largest insurance companies ?
a company with a worldwide reputation and offices virtually everywhere in Europe.
We are currently looking for a profile with an excellent knowledge of risk, experience in real estate would be a great advantage.
You will have the opportunity to work as part of an international team working on very interesting and diverse files.
With a possibility for your future to continue your development in the structure or in other offices around the world.
Senior Risk Manager - Tasks :
Support the development, implementation and maintenance of risk models for AIF & UCITS fund structures
Perform stress tests on the applicable items
Collect, review and control the reports / documentations received from the Central Administrators
Monitor future changes in the regulations in order to anticipate impact on the current control framework and implementing the necessary changes within the timeframes prescribed by regulators
Manage relationships with clients and external parties (auditors, delegates, service providers, etc.) relating to the Fund’s valuation
Monitor and report according to defined internal standards and processes and in line with regulatory requirements
Support in the on-going development of risk management policies and procedures
Provide support in ad-hoc projects in which the Risk Management team is involved
Senior Risk Manager - Profile :
Bachelor or Master Degree in Finance
At least 5 years of experience
Good Knowledge in AIFM & UCITS
Fluent in English, French or German
Senior Risk Manager - Offer :
Are you interested in this opportunity?
Send your resume to finance.lux(at)legrand-associates.com and one of our consultants will answer you back with discretion.
Are you looking for a different job? Then check out our opportunities at legrand-associates.com
We can also be reached by phone at the following number +352 20 88 12 80
We look forward to hearing from you!