Sanne is looking for an Alternative Investment Fund Manager with a strong focus on alternative assets including Private Equity, Real Estate and Private Debt Funds.
Day-to-day risk management for alternative investment fund products (AIFs) (predominantly Private Equity, Real Estate, Infrastructure, Private Debt);
Applying risk management tools and models to alternative investment funds including stress tests;
Compilation of risk management reports to senior management and fund boards;
Periodic review of the valuations of the alternative assets held by the AIFs;
Assisting clients in the fund setup in relation to risk management and valuation aspects, data standards and monitoring topics;
Assisting in the regular review of risk management and valuation policies;
Involvement in the maintenance of risk management systems, interfaces, reporting-tools and work-flows.
Skills / experience required
First experience in Risk Management / Investment controlling for Alternative Investment Funds or as a consultant / auditor of alternative investment funds at a major consulting / audit firm ( Big 4 );
Strong academic background in Finance, Business Administration, or Business Informatics / Applied Mathematics;
Strong analytical and conceptual skills with a pragmatic, hands-on approach;
Risk / Financial modelling and analysis skills;
Computer literate with sound Excel and MS-Office skills; programming skills (e.g. STATA) would be an asset;
Fluency in English (written and spoken), good command of German would be a plus;
You are a team player with pro-active work-ethics, and you enjoy challenges.
What you can expect :
An innovative, modern business environment;
Highly motivated experienced team;
Growth & development opportunities;