Due to further growth, we have an opportunity for a Senior Manager looking after Fund Risk and Investment Compliance in the Alternatives Department focusing on illiquid assets (PE, RE, debt).
Our client is a leading management company in Luxembourg and is offering a great opportunity for someone who is ready to take the next step in their career, and looking for a challenge with lots of responsibility.
Role Overview : Responsible to enhance processes already in place and build and manage a team as the business grows. Job Responsibilities : Own the risk profiling to identify different risks associated with AIF Funds, focussing on RE, PE and Debt funds.
Manage and lead a successful alternatives team and prepare accordingly for future growth Set up various financial metrics Produce financial Risk reports relevant to Alternatives funds.
Review, analyse and report the compliance exceptions of AIF Preparation of regulatory reporting for the CSSF Support the valuation function Support to the portfolio management function Review of prospectus, LFR, SLA and other documents in line with the activity Participation in different projects (implementation of new regulations, systems, etc.
Your profile : Masters in Finance Experience in PE, RE and or Debt Strategies is a requirement.
Previous experience of the control of investment restrictions for Luxembourg and / or Irish AIF Funds (Investment restrictions oversight, audit, etc.
would be considered as an asset Fluent English, both written and spoken Team spirit and communication skills Knowledge of products and instruments mandatory Advanced computer skills particularly in Excel High standards of quality and numerical accuracy Good knowledge of the current and new regulations (UCITS, AIFMD, UCITS V, etc.
Management experience Reward : Remuneration will be based on experience and suitability to the position. Interested? If you are interested in this job opportunity, please do not hesitate to send us your resume.