Risk or Fund Manager
A leading Asset Management firm is seeking high caliber professionals in Fund and Risk Management. The ideal person will have a minimum Financial Degree qualification and 5 years’ experience in a Senior Risk Management within finance, ideally with exposure to a wide variety of product and fund structures. Comprehensive knowledge of accounting and finance is very important with strong Managerial skills. Please send your CV if you meet ALL the requirements listed. Qualifications: Finance Degree or above in a Quantitative area (Math, Stats, Physics, Computer Science etc) or Finance. Responsibilities: Management of market and liquidity risk of funds Effective control of operational risk Coverage of full portfolio of funds including portfolio and individually managed funds Organization and management of the firm's risk committee Working across the company to ensure best practice is implemented
Correspondence will only be conducted with short listed candidates. Should you not hear from us within 3 days, please consider your application unsuccessful.