Company description : Currently working with a leading International financial services firm looking to hire a Risk Manager for their Luxembourg team.
My client has been operating for over 16 years and is highly recognized for being a thought-leader in its field. Job description : As Risk Manager, responsibilities will include : Investment Risk : · Develop and maintain a high standard of investment risk analysis and reporting across various asset classes at investment, fund and client portfolio levels.
Maintain and enhance data modelling and reporting systems & workflows for investment risk processes. Participate to funds’ Board meetings and present the risk report to the Board of Directors.
Maintain and enhance investment risk data, models, systems and reporting processes for the firm’s investments and funds.
Liaise with fund’s stakeholders such as investment managers, administrators, auditors, etc. Required profile : Essential Required Experience : · Previous experience with AIFs (Real Estate / Private Equity / Debt) is essential.
Knowledge of Luxembourg AIFM regulation · 3-6 years of relevant work experience within Investment Risk in the asset management sector.
Good communication skills and an ability to work with colleagues at all levels. · Highly developed numerical, analytical and reporting writing skills.
Business level French would be preferred but not essential. · Language Skills : Fluency in English is essential, French is advantageous What we offer : My client offers : · On-going opportunities for career development and progression.
Collaborative working environment with generous benefits. · A wide variety of product exposure, specifically focusing on Alternatives.
Opportunities to not only engage, collaborate, and influence senior management. · Opportunity to be part of a global team and collaborate with colleagues on an international scale.