Analyst or Associate - Risk Management
Luxembourg, LU
il y a 6j


When you join Hines, you will work alongside innovative leaders who set the standards responsible for our reputation as an industry leader today, and you’ll be a part of shaping our future in the years to come.


As an Analyst or Associate - Risk Management with Hines, you will support European Risk Management Team. Ancillary responsibilities will include supporting work of the valuation committee.

Responsibilities include, but are not limited to :

  • Collecting and analyzing risk and performance data from cash flow models, various reports, investment committee memos, financial statements, valuations and market research data
  • Setting up risk models, risk scoring and preparation of risk profiles (in Excel)
  • Monitoring key risk indicators against limits and proactively following up on significant risks or foreseeable breaches and on the remediation of risks including linking to the risk assessments
  • Reviewing valuation inputs, models and reports and analyzing the key value drivers
  • Preparing stress test scenarios at asset and portfolio levels and ability to analyze results
  • Risk reporting and disclosures to investors, regulator and internally
  • Assisting in onboarding of new mandates from risk management and valuation process perspective
  • Assisting in documenting and updating policies and procedures
  • Assist with operational risk management. Following-up on operational incidents / identifying operation deficiencies and suggesting remediation plans
  • Assisting in review of acquisitions, including review of models, market studies, due diligence reports and monitoring acquisition process
  • Build and maintain strong working relationships with local Hines teams for transactions and asset management collaboration of all kind
  • Qualifications

    Minimum Requirements include :

  • Bachelor's degree preferably in a subject area demanding high analytical aptitude from an accredited institution
  • Four or more years of relevant work experience (real estate / PE risk, investment management, controlling, finance etc.)
  • Highly numerate with a strong skillset in representing the concepts of real estate investment accurately and efficiently in Excel form
  • Strong understanding of controls environment, processes, regulatory framework within real estate fund business
  • Strong knowledge of the MS Office suite, most particularly Excel, PowerPoint and Word
  • Excellent communication skills with confident fluency in written and spoken English. Other European languages would be beneficial
  • Professional qualification (RICS, CFA etc.) would be considered an advantage
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