Job Description
My client is an international Alternative Investment Fund Manager based in Luxembourg looking to hire an experienced Risk Manager into their team
Responsibilities:
- Develop and maintain the AIFM risk management framework in accordance with the
- Luxembourg regulations and the Group policies and procedures
- Ensure compliance of the funds’ portfolios with the investment policies and restrictions
- stated in the funds’ prospectus
- Develop, implement, and communicate risk related policies and procedures
- Manage the funds’ portfolio risks relative to the market and the funds’ risk profiles
- Review and analyse the private equity portfolio transactions on a pre-trade and post-trade
- basis from a risk and compliance perspective
- Perform various risk, compliance and AML controls in each area of the AIFM processes
The ideal candidate:
- Experience in asset management, specifically in private equity funds
- Proven knowledge of the Luxembourg regulatory environment
- Minimum 6 years experience in Investment/fund Compliance, risk management, fund audit
- Professional qualification (CFA, CAIA, FRM etc) is advantageous
- Language Skills: Fluent in spoken and written English; French and Italian are advantageous.
- Advanced Excel skills
- Sound knowledge of the Risk Management process
This role offers:
- The opportunity to be part of a dynamic, professional, and highly collaborative environment.
- Opportunity to manage a broad range of alternative investments and broaden your AIF’s experience and knowledge.
- Opportunity to be part of strategic decision making and influence at a senior level.
- On-going opportunities for career progression.
- Attractive salary and bonus system.
Job Type: Permanent
Location: Luxembourg
Salary Range on offer: €77,000 - €95,000
Next Steps:
If you would like to find out more about this role, or know someone who would be interested in this position please submit your CV to nm@barclaysimpson.com or call me directly on +44 02079368903