The company is viewed as a
global investment manager
. They help
institutions
,
intermediaries
and
individuals around the world
. They are present over
six continents with a large network of more than 4.000 co-workers.
The company is looking for a
risk manager
who will be part of the
Funds Risk team
which works in
close coordination
with the other risk functions
across the international Group
.
The successful candidate will be
working in a collaborative
,
dynamic
and
multi-cultural
team which is responsible for
assessing
,
monitoring
and
reporting
on
investment risk pertaining to the funds.
If you are a
passionate individual
who possesses
strong numerical abilities
, this opportunity is for you!
RISK ANALYST - Missions:
Ensure the funds are in line with their mandates and agreed risk profiles
Contribute directly to the development and enhancements of the quantitative models
Ensure integrity of risk reports (data sources, data mapping, data analysis, and flows)
Support the on-boarding of new funds onto the risk systems and databases
RISK ANALYST - Profile:
You have at least a
bachelor's degree
in Economics/law/finance/accounting or similar. A master will be an asset
You have a
strong knowledge
of
English
. Any other languages will be an advantage
You have
2 years
of experiences in a similar sector
RISK ANALYST - Offer:
An attractive
gross salary up to 65K
depending on your seniority
You will have the
chance to be part of intensive training
that will allow you to
develop your skills
as much as you can
Working in a
dynamic environment
with a
good team spirit
that will give you
the strength and the hunger to go to work
A company that believes
in internal opportunities that will help you to reach your goals faster
You will be
surrounded by a highly collaborative
team member that will stimulate you in your work