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Job summary
A global financial services provider in Dublin is seeking a Risk Manager who will monitor investment risks, enhance risk analytics, and assist in risk management frameworks. The ideal candidate will have at least 2 years of relevant experience and a finance-related degree. This position offers the chance to engage with senior management and stakeholders while developing governance processes in a dynamic fund management environment. Excellent communication and team leadership skills are essential.
Qualifications
Minimum of 2 years’ experience in UCITS and/or EU AIF frameworks.
Understanding of AIFM and UCITS regulatory frameworks.
Proven experience managing and developing teams.
Responsibilities
Monitor investment risks of funds regularly.
Generate and enhance risk analytics with tools.
Assist in implementing Fund Risk Management framework.
Skills
Risk analytics
Communication
Team management
Problem-solving
Financial data interpretation
Education
Relevant finance or quantitative degree
Certification towards FRM, PRM, CFA, or CAIA
Job description
A global financial services provider in Dublin is seeking a Risk Manager who will monitor investment risks, enhance risk analytics, and assist in risk management frameworks. The ideal candidate will have at least 2 years of relevant experience and a finance-related degree. This position offers the chance to engage with senior management and stakeholders while developing governance processes in a dynamic fund management environment. Excellent communication and team leadership skills are essential.