Company description : Currently recruiting for a leading Top Tier International Asset Manager looking to recruit a Risk Manager into their Luxembourg team.
Job description : Responsibilities : · Implementation and on-going enhancement of the Investment Risk Management Framework.
With coverage of both UCITS and AIFs, the role will involve analysing investment risk reporting (Market Risk, VaR, back-testing, counterparty risk and liquidity).
This role will require frequent engagement with Conducting Officers, the Board, Executive Committee, Portfolio Management team.
Participating in the global risk monitoring efforts : As part of the Enterprise Risk Management team, assist on global projects regarding regulatory and IT developments.
This will involve participating collaboratively to global and international risk initiatives, framework and system improvements or risk investigations.
Required profile : Essential Skills : · Investment Risk experience within an Asset Management, Investment Management, Fund Management environment is essential.
Professional accreditation such as CFA, FRM is desirable · Strong understanding of Luxembourg and European Risk Management, regulatory requirements is essential.
Excellent interpersonal skills with an ability to communicate with colleagues at all levels, locally and internationally.
What we offer : This is an excellent opportunity to be part of an organization that is committed to giving a great working culture to its employees;
with on-going opportunities for career development, competitive salary and benefits, my client seeks to attract the best talent in the market.
Role Type : Permanent Location : Luxembourg Competitive salary and benefits