Job Description
Our Client provides independent governance solutions to the financial sector, including compliance support, with a strong focus on investment funds and investment fund managers in both the traditional and alternative sectors.
As part of its continued growth, the Company is seeking a Senior Risk Manager to support the Executive Committee and its clients in managing and enhancing risk frameworks.
This is an opportunity to be part of an international, highly motivated, and results-driven team, and work in a collaborative environment within a human-sized company.
Your areas of responsibility:
- Support key stakeholders in the risk management process for both tradable and non-tradable assets (private equity, real estate, fund of funds, etc.).
- Assist with risk identification, measurement, monitoring, and reporting across market, liquidity, operational, valuation, credit, and counterparty risks.
- Act as a subject matter expert on risk management, collaborating closely with internal control functions and other key stakeholders.
- Participate in transaction assessments and liaise with relevant parties, including Board members, investment advisors, and consultants.
- Lead projects focused on implementing and enhancing risk measurement tools and risk modeling.
- Support risk modeling initiatives (both qualitative and quantitative) and stay up to date with regulatory changes (CSSF Circulars, AIFMD, ESMA guidelines).
- Monitor regulatory developments and update policies and processes accordingly.
- Assess investment compliance and adherence to established risk profiles.
- Conduct research on risk management practices and economic trends.
- Prepare risk management reports for submission to the regulator.
Your profile:
- Minimum of 8 years of experience in risk management within the financial sector, investment fund managers, or investment funds.
- Master’s degree in finance, business administration, mathematics, economics, or a related field.
- Strong analytical, critical thinking, and problem-solving skills.
- Self-motivated and proactive, with the ability to work under pressure and meet tight deadlines.
- Interest in asset management and quantitative finance concepts.
- Excellent communication skills in English and French (additional European languages are an asset).
- Strong command of Excel and ability to create and manage databases.
- Knowledge of risk management systems; IT coding skills are a plus.
- Strong team spirit, flexibility, and ability to take initiative.
Could this be the right opportunity for you? Please do not hesitate to send your CV to Pawel Galanty at pawel.galanty@andersonwise.com to be considered for this recruitment process.
Your application will be treated with the utmost discretion.
When using our services, our clients require that we introduce candidates already in possession of a valid Luxembourg work permit. If this is not your case, we regret to inform you we will not be able to consider your application.
We take your privacy as our utmost concern, and we manage your data with the highest degree of confidentiality. Before applying to any of our opportunities, we invite you to read our privacy policy, available on our website.
We are an equal opportunity employer and welcome candidates from all backgrounds to apply