¡Activa las notificaciones laborales por email!

Aifm Risk & Valuation Analyst

buscojobs España

Ávila

Presencial

EUR 30.000 - 50.000

Jornada completa

Hace 2 días
Sé de los primeros/as/es en solicitar esta vacante

Mejora tus posibilidades de llegar a la entrevista

Elabora un currículum adaptado a la vacante para tener más posibilidades de triunfar.

Descripción de la vacante

A leading independent UCITS management company is seeking a risk management expert to manage alternative investment funds. In this role, you'll apply your analytical skills and collaborate with a multicultural team, all while benefiting from extensive talent development programs and a favorable salary.

Servicios

Education support
Sponsorship for training
In-house training programs

Formación

  • Experience in risk management or as a consultant/auditor in major consulting firms.
  • Strong academic background in Finance, Business Administration, or similar.
  • Analytical and conceptual skills with a practical approach.

Responsabilidades

  • Manage day-to-day risks for alternative investment funds.
  • Review valuations of alternative assets periodically.
  • Compile risk management reports for stakeholders.

Conocimientos

Risk management
Investment controlling
Analytical skills
Conceptual skills

Educación

Degree in Finance
Degree in Business Administration
Degree in Business Informatics
Degree in Applied Mathematics

Descripción del empleo

FundRock is a Pan-European leading independent UCITS management company and AIFM (Alternative Investment Fund Manager). Our clients are established blue-chip companies and leaders in their domestic market.

We invest in our people, enabling you to develop your skills and build on your experience.

If you like the idea of working for an ambitious and growing company, as part of a multicultural team, we are the place for you.

Key responsibilities :

  • Day-to-day risk management for alternative investment fund products (AIFs);
  • Periodic review of valuations of alternative assets (private equity, real estate, infrastructure, debt instruments, etc.);
  • Applying risk management tools and models to alternative investment funds (private equity, real estate, infrastructure, debt etc.);
  • Compilation of risk management reports to senior management, fund boards and the regulator CSSF;
  • Assisting clients in fund setup in relation to risk management and valuation aspects, data standards and monitoring topics;
  • Regular review of risk management and valuation processes of AIFs;

Skills / experience :

  • First experience in risk management / investment controlling for alternative investment funds or as a consultant / auditor of alternative investment funds at a major consulting / audit firm (“Big 4”);
  • Strong academic background in Finance, Business Administration, or Business Informatics / Applied Mathematics;
  • Strong analytical and conceptual skills with a pragmatic, hands-on approach;

As a vital team member and in return for your expertise, inclusive approach and commitment, we'll provide a favourable salary and the chance to join a passionate and welcoming team. Benefits : As a truly global business, we tailor benefits to each location to safeguard our people and respect local cultures and ways of working. Our people are our greatest asset, and we invest in talent development. Join our global network, and you will benefit from education support, sponsorship, and in-house training programs.

J-18808-Ljbffr

Consigue la evaluación confidencial y gratuita de tu currículum.
o arrastra un archivo en formato PDF, DOC, DOCX, ODT o PAGES de hasta 5 MB.