Accessibility Links

Risk and Reporting Manager - German Speaker

  • Location: London
  • Salary: 45,000
  • Job type: Permanent
  • Job reference: 167384
  • Sector: Market Risk
Job Description

My client is a boutique consultancy firm, focused on alternative investments advising a wide range of companies, seeking a German speaking risk and reporting manager. This role would suit an entrepreneurial individual with Big Four experience.

 

Responsibilities

  • The production and co-ordination of monthly as well as quarterly reports for regulated financial investors
  • To develop and automate existing risk reports in excel and VBA
  • To design new risk reports and services
  • Business development and point of contact for clients
  • To oversee the junior colleagues as well as external service providers

 

Essential

  • 1-3 years Risk reporting experience from a Big Four Consultancy, Bank or Asset Manager
  • A Bachelors or Masters in a quantitative field
  • Knowledge of Excel and VBA
  • German speaker
  • An entrepreneurial mind-set

 

 

 If you would like to know more about this role, please submit your CV for consideration.

Similar jobs
Investment Risk Manager
  • Location Amsterdam
  • Salary €100,000 - €125,000
  • Job type Permanent
  • Sector Asset Management/Funds
  • Description Our client is well respected global asset manager with a strong presence in Asia, Europe and North America. They are seeking an experienced investment risk manager to lead the function in Amsterdam
Market Risk Manager
  • Location Luxembourg
  • Salary €60'000-90'000
  • Job type Permanent
  • Sector Market Risk
  • Description   Notre client est un gestionnaire de fortune hautement reconnu et établi internationalement. Il recherche actuellement pour son bureau Luxembourgeois un Investment Risk Manager
Senior Investment Risk Analyst
  • Location London
  • Salary £80000 - £100,000 Base
  • Job type Permanent
  • Sector Asset Management/Funds
  • Description Senior Investment Risk Analyst position at leading international asset manager
Liquidity Risk Manager
  • Location London
  • Salary £65-75k base + bens + bonus
  • Job type Permanent
  • Sector Banking, Banking
  • Description Investment bank seeks a Risk Manager with strong knowledge of the following product areas: prime brokerage, secured funding, REPO financing, bonds and collateral swaps.
Related news