Attiva gli avvisi di lavoro via e-mail!

Risk Management Specialist - Holding Finanziaria

TN Italy

Dresano

Ibrido

EUR 40.000 - 60.000

Tempo pieno

Ieri
Candidati tra i primi

Aumenta le tue possibilità di ottenere un colloquio

Crea un curriculum personalizzato per un lavoro specifico per avere più probabilità di riuscita.

Descrizione del lavoro

A leading firm in Dresano is seeking a Risk Management Specialist to join their team. The role focuses on managing risks related to Real Estate Funds, requiring strong analytical skills and a Master's degree. The position offers a permanent contract with an excellent incentive plan and the possibility of smart working.

Servizi

Excellent incentive plan
Corporate welfare

Competenze

  • 2-3 years of experience in Real Estate Risk Management or consulting.
  • Excellent knowledge of MS Office Suite, especially Excel and PowerPoint.

Mansioni

  • Conducting stress tests and risk analysis.
  • Calculating and managing Key Risk Indicators.
  • Performing due diligence on Clients and Suppliers.

Conoscenze

Analytical Skills
Quantitative Skills
Teamwork
Proficiency in English

Formazione

Master's Degree in Industrial Engineering
Master's Degree in Economics

Strumenti

MS Office Suite

Descrizione del lavoro

Risk Management Specialist - Holding Finanziaria, Dresano

Location: Dresano, Italy

Company: Risorse Professional, a firm specializing in the recruitment and selection of Middle & Senior Management personnel, for a well-known SGR active in managing alternative investment funds in real estate and credit markets.

Job Description:

The selected candidate will join the Risk Management Team of the Holding and will primarily focus on risks related to Real Estate Funds. Responsibilities include:

  1. Conducting stress tests and risk analysis;
  2. Calculating and managing Key Risk Indicators;
  3. Analyzing and producing sensitivity scenario reports;
  4. Developing reporting models;
  5. Performing due diligence on Clients and Suppliers;
  6. Managing relationships with Fund Managers and various Control functions.

Qualifications:

  • Master's Degree in Industrial Engineering or Economics-related disciplines;
  • At least 2-3 years of experience in a similar role or at consulting firms specializing in Real Estate Risk Management;
  • Excellent knowledge of MS Office Suite (especially Excel and PowerPoint);
  • Proficiency in English;
  • Strong analytical and quantitative skills;
  • Ability to work in a team and achieve objectives.

Additional Details:

  • Permanent contract;
  • Excellent incentive plan and corporate welfare;
  • Location: Milan (50% smart working).
Ottieni la revisione del curriculum gratis e riservata.
oppure trascina qui un file PDF, DOC, DOCX, ODT o PAGES di non oltre 5 MB.