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About our client Our client, a global multi-asset investment firm, is currently looking to hire an Investment Risk Manager to join their London team.
The firm, which has a global presence and invests through multiple strategies, have a very strong track record and they are expecting this success to continue moving forward.
Due to continued growth across the business, they are now looking to expand the London risk team.
What the job involves As the Investment Risk Manager, you will be responsible for the analysis and preparation of information presented to the investment groups and management on all elements relating to risk management for the private asset classes.
You will work closely with the Director of Risk on a day-to-day basis, along with the international team heads.
There will be plenty of progression and learning available in the role as the business has a clear pathway through to senior leadership level.
Fundamental risk analysis and attribution of risk ratings for the firms private market investments Contribute to the annual review of internal risk ratings Preparation of pre-investment analysis Risk reporting Risk rating and analysis for each investment and adjusting where necessary Who we are looking for Knowledge and experience of the private markets is essential Experience gained within Credit / Risk Rating Agency or within an in-house investment environment Proven experience working across an international remit Previous exposure to senior stakeholders, both internal and external Relevant qualifications (CFA, PRM, FRM) would be advantageous A flexible mindset You will be redirected to the company's website – you must complete the application on their platform to apply.