Job Description
We are seeking a seasoned Risk Management Expert to join our team in assessing and mitigating various types of risk. The successful candidate will have a proven track record of analyzing complex financial data and identifying potential threats to the business.
The ideal candidate will possess a strong understanding of alternative investment funds and UCITS, as well as excellent analytical and problem-solving skills. They will also be able to work effectively with various stakeholders, including investors and regulatory bodies.
* Assess and mitigate market risks, credit risks, counterparty risks, liquidity risks, and operational risks
* Analyze risks associated with Alternative Investment Funds and UCITS
* Develop and implement risk management strategies to ensure compliance with regulatory requirements
* Collaborate with cross-functional teams to identify and address potential risks