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|Salary||£80k to £90k|
|Sector||Credit & Risk Management|
A leading Asset Management within Luxembourg are looking for a new Risk Manager to join their growing team within their new offices. The Risk Manager's purpose will be to implement the risk management polices, including the regular risk oversight activities over the Asset Management's managed funds.
The Risk Manager will appropriate implementation of the Policy and Risk Management Processes for UCITS and AIFs and the Risk Management Framework.
They will have oversight of the RCA process as well as back-testing, scenario analyses, stress testing and monitor the effectiveness of the risk management policy.
Participate in client due diligence, on-boarding and other risk based presentations.
As the Risk Manager you will liaise with fund's stakeholders such as investment managers.
Key Skills Required
Excellent understanding of the Luxembourg AIFM and UCITS legal and regulatory framework.
Must have experience across Multi-Asset, Equity, Fixed Income and Real Estate.
Strong level of Risk Management experience.
GARP's FRM or PRMIA's PRM would be an advantage.
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