
Risk Manager
- Luxemburg
- Unbefristet
- Vollzeit
- Contribution to review and enhancement of the risk management policy and procedure.
- Contribution to enhancement of the risk management overall framework.
- Review of AIFs' documents (prospectus, LPA, etc.)
- Creation and periodic review of the funds' risk profiles.
- Preparation of periodic and ad-hoc AIFs' risk reports.
- Review and analysis of new investment and divestment opportunities.
- Monitoring of pre- and post-trade investment restrictions.
- Preparation of stress-test (including for open-ended funds).
- Maintenance of the operational risk assessment for the AIFs and the AIFM.
- Contribution to analysis of regulatory changes and their implementation.
- Preparation of materials for the Conducting Officers and Board of Managers meetings.
- Participation in various project supporting growth of the AIFM and regulatory development.
- Academic degree in Finance, Economics, Business, Mathematics, or related fields;
- 5 years of related work experience (Luxembourg AIFM);
- Knowledge of the Luxembourg AIFM regulatory framework;
- Experience with private equity, real estate, funds of funds and credit strategies;
- Experience with open-ended funds and liquid products;
- Fluency in English (written and spoken), other language is considered an advantage;
- FRM, CFA or CAIA professional designation is considered an advantage;
- Advanced knowledge of MS Office (including VBA);
- Team player with a strong work ethic;
- Analytical thinking, ability to prioritize and meet deadlines;
- Pro-active approach.