Bullet points
Excellent exposure
Great work-life balance
About Our Client
The client is a multi-billion dollar investment vehicle that has built a significant global portfolio consisting of a wide range of asset classes.
Job Description
Reporting to the Senior Manager - Investment Risk, the role would have the following responsibilities:
- Contribute to the formulation of the Investment Risk Policy in the assigned area of risk management (e.g. public market, private market, liquidity and/or credit) and support management with implementation of the same
- Analyse the risk investment strategy and business needs for an assigned unit/domain and develop, adapt and maintain risk policies, procedures, processes, risk models and tools, in line with internal and/or external risk policies of the organisation
- Execute structural and ad-hoc forward-looking analysis and reporting and provide support internal stakeholders to ensure timely, high quality and accurate management information as basis for managerial decision-making
- Provide advice to and create liquidity risk awareness of internal stakeholders within assigned area with regard to risk management issues and implications to support decision making
- Participate in various ad-hoc risk projects, in order to realise project objectives within agreed parameters
The Successful Applicant
The ideal candidate will have the following:
- University or higher degrees preferably in business, economics or finance
- Professional qualifications such as FRM and CFA is preferred
- 3-6 years of relevant experience in a operational risk at a similar financial services organisation
- In-depth understanding of risk methodology. Knowledge and experience of systems like Barra is preferred
- Strong communication skills
What's on Offer
Excellent exposure and great work-life balance
Contact:
Gitika Agarwal
Quote job ref: JN-082020-330723