Job 34 van 157

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RISK MANAGER - Asset Management at James Woodman



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


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