Our client is a well-established Asset Manager who invests in an array of asset classes (UCITS, Private Equity, Real Estate, Debt) and holds a sterling reputation for quality in Luxembourg.
In line with recent developments, they are looking to recruit a new Senior Risk Manager on a permanent basis. Responsibilities : Support the Risk Management Team in its daily tasks, particularly in analysing and managing the performance measurements of AIF and UCITS funds Maintaining and further developing the in-
house risk measurement tools To provide assistance to the Conducting Persons of the Management Company in the context of their investment fund / management company mandates Perform investment compliance checks on transactions in listed securities / derivatives and in alternative assets classes Validation and update of the risk management framework for all Funds managed Draft and review internal procedures related to risk and compliance activities Implement legal and regulatory risk and compliance updates / changes Ideal profile : Bachelors and / or Masters degree ideally in business, finance or a related discipline You have at least 5 years of relevant professional experience within the Luxembourg Fund Industry You have extensive knowledge of Luxembourg UCITS / AIFMD market and regulations Professional Certification in Risk Management is an asset Fluent in spoken and written English Proficiency in Microsoft Office, especially advanced Excel (financial modelling, macros) Result-
oriented, reliable and independent way of working Interested? If you are interested in this job opportunity, please do not hesitate to send us your resume.