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A specialist Fund Management company are seeking a Risk Manager to join them in Luxembourg. This company specializes in managing Alternative Investment funds across numerous different assets. Using your experience in Private Equity, Private Debt and Infrastructure, you would be responsible for the portfolio that is focused on illiquid assets, and drive expansion into a new area for the company.
As Risk Manager you would:
-Engage in due-diligence initiatives looking at investments across different asset classes
-Perform accurate risk analysis and present the reports to senior management and risk
committees
-Use your experience, identify key investment risks and to monitor the portfolio accurately
-Engage in valuation projects with concentration on illiquid assets (private equity, infrastructure
& private debt.)
-Contribute to the assessment of the company's risk policies, ensuring they are compliance with
AIFMD regulation
As Risk Manager You will bring:
-A degree or equivalent in an Economics/Finance related field
-minimum 3 years' experience working in the Risk function of asset management companies.
-Experience dealing with illiquid assets such as private equity, infrstructure, and private debt.
-Fluency in English
Risk Manager - Illiquid Assets
- Location Grand Duchy of Luxembourg
- Job type Permanent
- Salary Negotiable
- Discipline Risk Management
- Reference PR/276259_1600943466
As Risk Manager you would:
-Engage in due-diligence initiatives looking at investments across different asset classes
-Perform accurate risk analysis and present the reports to senior management and risk
committees
-Use your experience, identify key investment risks and to monitor the portfolio accurately
-Engage in valuation projects with concentration on illiquid assets (private equity, infrastructure
& private debt.)
-Contribute to the assessment of the company's risk policies, ensuring they are compliance with
AIFMD regulation
As Risk Manager You will bring:
-A degree or equivalent in an Economics/Finance related field
-minimum 3 years' experience working in the Risk function of asset management companies.
-Experience dealing with illiquid assets such as private equity, infrstructure, and private debt.
-Fluency in English