Senior Risk Manager: German AIFM - Luxembourg
Location
Luxembourg | Germany
Job description
Our client, a dynamic asset management company based in Luxembourg, is renowned for crafting bespoke investment solutions across diverse asset classes, including alternative and traditional investments.
As a subsidiary of a prestigious organization headquartered in Switzerland, they form an integral part of a distinguished investment group with a formidable presence in real estate across German-speaking Europe.
Backed by a team of proactive and results-driven real estate professionals, our client is committed to delivering sustainable value to institutional investors through cutting-edge investment strategies.
Your Responsibilities:
- Support the risk management function in implementing, maintaining, and developing existing risk management principles and procedures related to market, liquidity, credit, counterparty, valuation, and operational risks for AIFs and UCITS.
- Conduct comprehensive analysis and control tasks in the area of risk management.
- Develop risk profiles for managed investment assets, define risk limits for defined key risk indicators, and monitor compliance.
Your Qualifications:
- Degree in Economics, Business Informatics, or equivalent qualification.
- Minimum of 5 years of professional experience in risk management for AIFs or in consulting/auditing AIFs at a major consulting/auditing firm or similar environment is advantageous.
- Knowledge of regulatory requirements for Luxembourg management companies for AIFs and UCITS (including CSSF 18/698, AIFMD Law 2013, and UCITS Law 2010).
- Fluent in German and proficient in English (written and spoken)
The Offer:
- Young, dynamically growing company with flat hierarchies.
- Numerous opportunities for shaping.
- Committed and motivated team.
- Competitive salary package commensurate with your past experiences.
Job tags
Salary