Job Opportunity
We are seeking a seasoned risk management professional to fill this senior officer position. As a key member of our team, you will be responsible for evaluating market risks, credit risks, counterparty risks, liquidity risks and operational risks.
Key Responsibilities:
* Evaluate market risks, credit risks, counterparty risks, liquidity risks and operational risks
* Assess risks associated with Alternative Investment Funds and UCITS
* Verify investment restrictions and risk limits
* Calculate commitment and leverage figures
* Compile risk reports
* Prepare regulatory risk reports
* Identify breaches, escalate to the Risk Manager and follow up on them
* Collaborate with the Risk Manager to develop and maintain risk tools
Requirements:
* University degree in finance, economics or equivalent subject
* Minimum 3 years of relevant experience in risk management
* Fluency in English (knowledge of French and/or German is an asset)
* Good understanding of alternative investment funds industry (PERE, Debt, Fund of Fund...) and UCITS
* Good command of Microsoft Office, VBA/Python is an asset
* Organized, dynamic and able to manage workload efficiently
* Able to communicate well in a small team
* Strong analytical skills
* Able to interact with various counterparties (other service providers, clients and intra-Group)
* Able to adapt to rapid change and complex environment
What We Offer:
* Support for professional accreditations such as ACCA and study leave
* Flexible arrangements, generous holidays, plus an additional day off for your birthday
* Continuous mentoring along your career progression
* Active sports, events and social committees across our offices
* 24/7 support available from our Employee Assistance Program
* The opportunity to invest in our growth and success through our Employee Share Plan
* Plus additional local benefits depending on your location