Senior Investment Risk Manager - Fund Manager - 12 Month FTC
Job ref: 47668
LocationDublin City Centre
SectorFunds & Investment Management, Banking & Treasury
Job typeFixed Term Contract
SalarySee description below
The Panel is currently engaged to source a Senior Investment Risk Manager on behalf of a reputable Fund Manager in Dublin city centre on a 12 Month FTC basis
The team ensures that all aspects of Investment Risk including market risk, fund liquidity risk and fund counterparty risk are adequately covered and understood to meet the client expectations over the entire lifecycle of a product.
Responsibilities
Requirements
The salary for this role is negotiable depending on experience and includes an excellent bonus and benefits package
Please contact Liam Murphy if you meet the key criteria and wish to apply
The team ensures that all aspects of Investment Risk including market risk, fund liquidity risk and fund counterparty risk are adequately covered and understood to meet the client expectations over the entire lifecycle of a product.
Responsibilities
- Provide oversight all aspects of investment risk, across the companies global fund range with a focus on local fund ranges managed
- The successful candidate is expected to focus on the implementation of the relevant investment risk frameworks in the region and collaborate with colleagues in Europe and UK to develop effective investment risk oversight frameworks and ensuring best practice and knowledge sharing across the group.
- In addition to risk frameworks the individual will be responsible for oversight of operational risk within the investment process and thematic reviews in the region.
- The individual will be expected to provide strong input into new product launches, ensuring that key risks are understood and discussed and to proactively identify sources of risk and provide challenge to Investment Teams.
Requirements
- Proven risk expertise of risk within an asset management or financial services firm.
- Understanding of the key aspects of investment risk in fund management.
- Ideally a good knowledge of Equity, Fixed Income and Multi-Asset products.
- Understanding of Private Asset classes is a strong advantage.
- Good understanding of the regulatory framework within fund management.
- The ability to work independently, within limited management supervision and to tight deadlines.
- Strong analytical and problem-solving skills with a solution focused mindset.
- Dedicated to maintaining high standards including attention to detail.
- Education to university level or equivalent.
- Excellent written and verbal communication skills with the ability to communicate effectively with stakeholders and senior management.
The salary for this role is negotiable depending on experience and includes an excellent bonus and benefits package
Please contact Liam Murphy if you meet the key criteria and wish to apply