Risk Manager VP, Alternative Asset Manager, Alternative Asset Manager, London - eFinancialCareers
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Added before 1 Days
- England,London,City of London
- Full Time, Permanent
- Competitive salary
Job Description:
Responsibilities
*Contribute and enhance the Investment Risk Management Framework, documenting policies and procedures aligned to regulation.
*Lead the risk workstream for new fund launches and material changes, from requirements definition through to BAU handover.
*Design, calibrate and oversee risk models using MSCI RiskMetrics; drive data quality controls, exceptions and validation.
*Analyse strategies and portfolios to assess market, credit, liquidity and sustainability risks; address investor queries.
*Set and monitor KRIs and internal risk thresholds in partnership with Investment Managers and the Management Company.
*Produce concise monthly investment risk reports with commentary and actionable recommendations for senior stakeholders.
*Track macro and market developments to provide early warning indicators and support risk-based decision making.
*Mentor colleagues, provide cover for BAU risk monitoring and contribute to cross-functional projects and initiatives.
*Support Enterprise Risk Management reporting and alignment with group-wide guidelines.
*Act as subject matter expert on investment risks, relevant regulations and industry best practice.
Requirements
*7+ years’ investment risk experience within asset management, risk consultancy or relevant service provider.
*Deep knowledge of UCITS and AIFMD risk rules, including VaR and Commitment approach methodologies.
*Hands-on with risk analytics platforms (e.g., MSCI RiskMetrics, Bloomberg, FactSet); Python and SQL a plus.
*Excellent communication and presentation skills, able to summarise for senior management.
*Self-starter who works independently and collaboratively in a fast-paced environment.
*Strong academic background; post-graduate or professional qualification (e.g., MSc, CFA, FRM) advantageous.
*Contribute and enhance the Investment Risk Management Framework, documenting policies and procedures aligned to regulation.
*Lead the risk workstream for new fund launches and material changes, from requirements definition through to BAU handover.
*Design, calibrate and oversee risk models using MSCI RiskMetrics; drive data quality controls, exceptions and validation.
*Analyse strategies and portfolios to assess market, credit, liquidity and sustainability risks; address investor queries.
*Set and monitor KRIs and internal risk thresholds in partnership with Investment Managers and the Management Company.
*Produce concise monthly investment risk reports with commentary and actionable recommendations for senior stakeholders.
*Track macro and market developments to provide early warning indicators and support risk-based decision making.
*Mentor colleagues, provide cover for BAU risk monitoring and contribute to cross-functional projects and initiatives.
*Support Enterprise Risk Management reporting and alignment with group-wide guidelines.
*Act as subject matter expert on investment risks, relevant regulations and industry best practice.
Requirements
*7+ years’ investment risk experience within asset management, risk consultancy or relevant service provider.
*Deep knowledge of UCITS and AIFMD risk rules, including VaR and Commitment approach methodologies.
*Hands-on with risk analytics platforms (e.g., MSCI RiskMetrics, Bloomberg, FactSet); Python and SQL a plus.
*Excellent communication and presentation skills, able to summarise for senior management.
*Self-starter who works independently and collaboratively in a fast-paced environment.
*Strong academic background; post-graduate or professional qualification (e.g., MSc, CFA, FRM) advantageous.
Job number 3641277
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