HSBC Holdings plc , the parent company of the HSBC Group, is headquartered in London.
The Group serves customers worldwide from around 3,900 offices in 67 countries and territories in Europe, Asia, North and Latin America, and the Middle East and North Africa.
With assets of US$2,522bn at 31st December 2017, HSBC is one of the world’s largest banking and financial services organisations.
Commercial Banking; Global Banking and Markets; and Global Private Banking.
The HSBC Group in Luxembourg is a significant employer and operates several businesses including asset management, securities services, private banking and corporate banking.
In order to strengthen our Asset Management team, the Management Company, we are currently looking to recruit an : Investment Risk Analyst Permanent Contract Your main responsibilities : Reporting to the HSBC Investment Funds (Luxembourg) SA Chief Risk Officer, the role holder will have to : Support the HIFL risk team when producing and / or reviewing market, liquidity, counterparty, credit, compliance and operational risk reports on a regular basis for UCITS and AIFs, Escalate issues / concerns to senior management and report such results.
Provide oversight, jointly with the senior staff, of the Investment Advisers local risk teams in relation to the regular risk reporting, and other Investment Management / Advisers delegates, including validation of the investment advisers / managers’ compliance with the risk policy and Luxembourg / Irish regulations applicable to UCITS / AIFs.
Provide support on monitoring concentration risk (i.e.
investment restrictions limits) at sub-fund level, assets eligibility assessment and assisting on ensuring that all exceptions are handled in time and efficiently.
Provide support to the HIFL Conducting Officers in their day to day management.
Professional Skills and Experience : University / master degree in Business / Economics / Finance / Risk Management; A minimum of 4 years relevant professional experience in Funds industry or in a Management company with focus on Investment Risk Management, preferably in both UCITS and AIFs.
Good understanding of risk measurement techniques such as VaR, liquidity risk measures, tracking error, duration, etc.
Good technical skills in financial risk management and financial instruments.
Strong analytical, communication and relationship skills.
Knowledge of UCITS and alternative investment funds risk management and local / European risk regulatory requirements.
Well organized and able to work independently.
Forward looking and business orientated.
Good IT skills.
VBA / SQL would be an advantage, Fluency in English is mandatory, both written and spoken.
Other languages would be an advantage. If you want to work in our challenging and multicultural environment and be part of a global team, please send your application letter and curriculum vitae (in English) via jobs.lu.
HSBC in Luxembourg strives for true diversity in its workforce and as such we are an equal opportunities employer and positively encourage applications from all suitably qualified candidates.
Please note that due to the volume of applications received we will acknowledge your application only if we wish to proceed to interview.
If you have not received a response within 4 weeks your application has not been successful Please also note that every selected candidate will have to provide us with a valid criminal record check in due time.