We have a great opportunity for a Risk Management - (AIFs) in a multinational banking and financial services company. If you're ready to take on a challenging and rewarding role, read on!
Key Responsibilities:
- Risk Analysis and Reporting: Create and review comprehensive risk reports for both liquid and illiquid AIFs, covering market, credit, counterparty, liquidity, operational, and compliance risks.
- Issue Resolution: Quickly escalate and address issues, breaches, excesses, and inconsistencies.
- Framework Implementation: Establish a robust risk management framework for AIFs.
- Investment Restrictions Oversight: Monitor investment limits and collaborate with Investment Managers to resolve breaches.
Qualifications and Skills:
- Education: Hold a degree in Business, Economics, Finance, or Risk Management.
- Experience: Bring at least 5 years of relevant experience in Funds or Risk Management.
- Investment Risk Proficiency: Demonstrated expertise in Investment Risk, particularly in Alternative Investment Funds.
- Technical Skills: Excel in financial risk management and financial instruments.
- Regulatory Knowledge: Thorough understanding of AIFs risk management and regulatory requirements.
- Additional Assets: Experience in private debt, private equity, or real estate is a plus.
- IT Skills: Proficient in IT.
- Language Skills: Fluency in English is mandatory; other languages are a bonus.
If you fit this profile and are eager to join a team that values expertise, professionalism, and growth, please submit your resume and a cover letter outlining your relevant experience and motivations for applying.
Don't miss this opportunity and apply!