Arkus Financial Services is part of the global Profidata Group and provides asset managers with flexible and independent risk management solutions.
Thanks to its understanding and practical experience of asset management, its unique risk profiling and risk modelling capabilities developed over the past 16 years, its continuous involvement in professional associations, training institutions and close relationships with regulators, Arkus is providing risk-based governance services to a variety of asset managers, representing a volume of 61 bn EUR assets under administration at the end of January 2024.
As such, our people can act as real partners to the investment managers and provide them with tools to efficiently engage with investors and regulators.
the role will be based in Munsbach in Luxembourg and the successful candidate will work under the direct supervision of the head of risk. Arkus has in place a flexible hybrid working policy allowing a number of days to be worked on a remote basis after successful completion of trial period.
Assistance with the production and quality assurance of risk reports covering various types of risks (Market Risk, Liquidity Risk, Counterparty Risk, etc.)
Data Management of incoming client data and integration into our proprietary system "RiskRadar
Handling of various financial instrument types, including listed and OTC derivatives (setup, mapping, etc.)
Active participation in the further development of our products (conceptual work, testing, etc.)
University Degree in Finance or similar
Ability to work in a small dynamic and multicultural team where the working language will be English (Fluency in English is essential - German would be an advantage)
Excellent written and oral communication skills
NET, SQL, VBA, Matlab, etc.) Arkus offers a competitive salary and benefits package
If you wish to join our company, please apply, in English, by sending your cover letter, salary expectations and Curriculum Vitae. Arkus Financial Services is part of the Profidata Group and provides asset managers with flexible and independent risk management solutions.
Thanks to its understanding and practical experience, its unique risk profiling and risk modelling capabilities developed over the past 16 years, its continuous involvement in professional associations, training institutions and close relationships with regulators, Arkus is providing risk-analysis services to a variety of asset managers, representing a volume of 61BN EUR assets under administration at the end of January 2024.