Regulatory Risk Manager
Spring Professional
il y a 4j
source : Moovijob

Regulatory Risk Manager (f / m)

Spring Professional Luxembourg is part of The Adecco Group. On January 2020, three entities - Ajilon, Adecco Office & Finance and Adecco Permanent Placement - joined their forces to create a unique space dedicated to middle management and highly qualified professionals under one single brand : Spring Professional.

We are specialized in contracting, temporary and permanent placement in Office, Finance, ICT & Manufacturing.

We are urgently looking for a Regulatory Risk Manager.

Your responsibilities

  • Assist the Head of Risk Management in maintaining an effective risk management framework within the entity to ensure compliance with regulatory requirements as set out by the CSSF regulations on UCITS.
  • This includes coverage of all aspects of corporate risk and operational risk as well as investment risk, liquidity risk and counterparty risk.

  • Contribute to defining, documenting and implementing an effective governance framework for the validation of risk models and stress testing- liquidity, credit, market risk, optimization and valuation models.
  • Analyse temporary and emerging risks as a result of internal change, growth and external events, including ensuring timely updates to process maps, policy and procedure manuals and risk maps where required.
  • Assist in implementation and maintenance of local risk management policies and procedures, together with adequate risk management systems, to identify, measure, manage and monitor risks appropriately, on an on-going basis.
  • Your profile

    Experience and knowledge of the Luxembourg regulations a broader knowledge of the regulatory requirements across EMEA level (MiFID, UCITS, AIFMD) preferred.

  • Working experience within the risk management function of a financial services organization, preferably for a fund management company.
  • Ideally, the candidate will have experience in investment, counterparty, corporate and operational risk management with regard to securities funds in traditional and alternative investments.
  • Quantitative, analytical and creative problem-solving skills.
  • Good communication and presentation skills.
  • Fluent spoken and written English.
  • Proactive and consistent in approach and flexibility to engage in specific risk projects / reviews on a short-term basis.
  • Strong Excel & VBA skills and ideally database and data management skills preferred.
  • Strong academic record and a degree with high mathematical content required e.g., Mathematics, Engineering, Finance or Economics.
  • The professional spirit that drives us forward

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