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Risk Management Expertise Partner
3 weeks ago
Empowering Individuals to Drive Business Growth
Job DescriptionThe role of the Senior Investment Risk Manager is multifaceted, encompassing risk analysis, management, and oversight. This position plays a pivotal role in identifying, assessing, and reporting market, credit, liquidity, and environmental risks across all portfolios and funds managed by the company.
As a key member of the investment team, you will collaborate with the Head of Investment Analysis & Control to oversee and analyze the performance and risk of individual and aggregated portfolios and funds. Your responsibilities will include conducting thorough risk-return analyses, providing assessments on new products or instruments, and working closely with stakeholders to ensure seamless transition processes.
- Provide independent analysis and management of Investment Risks (Market Risk, Credit and Counterparty Risk, Liquidity Risk, Environmental Risk) for the company's investment activities
- Conduct risk-return analyses on portfolios and funds managed and/or advised by the company and overseeing risk-taking activities in line with risk budgets and KPIs/KRIs
- Assist the Head of Investment Analysis & Control in developing, reviewing, and enhancing the Governance framework on matters related to Investment Risk management, ensuring compliance with relevant regulations and guidelines
- Analyze Investment Risks for new products/instruments and provide assessments to the Product Approval Committee
- Work with the Head of Investment Analysis & Control in the transition of processes, reports, and analytics to the new risk system
Candidates are expected to possess a strong academic background in a technical discipline such as finance, statistics, computer science, or mathematics. A Master's degree is preferred, while CFA/FRM certifications are highly valued. Additionally, candidates should have:
- A minimum of 12 years of experience in multi-asset portfolio risk, performance, and attribution
- Proven track record of direct experience with private assets, including private equity, venture capital, real estate, or private credit
- Working knowledge of widely used risk and performance systems
- Hands-on programming experience in Python/R, along with libraries commonly used for data manipulation
- Excellent communication and presentation skills to convey complex risk information effectively
- Proactive and team-oriented approach
Joining our organization offers a unique opportunity to drive business growth while shaping your career. As a Senior Investment Risk Manager, you will be empowered to:
- Develop strategic relationships with key stakeholders
- Pursue ongoing professional development and training
- Enjoy a competitive compensation package
We believe that every individual has the potential to make a meaningful impact. By joining our organization, you will become part of a dynamic team committed to driving business success through innovative solutions and exceptional talent.