Global Asset Manager - Investment Risk - ESG Focus (Salary up to £140,000)
I am working with a well-regarded global investment firm looking for a Risk Management Professional (Alternatives) - ESG Focus to join its team in Luxembourg, Frankfurt, or London. This individual will play a pivotal role in shaping the firm's approach to sustainable investing by integrating environmental, social, and governance (ESG) considerations into risk frameworks for alternative investments.
The successful candidate will leverage their expertise in risk management to provide comprehensive analysis across various areas, encompassing market, counterparty, credit, liquidity, and crucially, ESG factors. They will actively contribute to the continuous improvement of the firm's risk management framework, ensuring its effectiveness in supporting growth initiatives within a specific region.
The successful candidate will have the chance to collaborate with a highly skilled global risk management team, gaining valuable exposure to a diversified and expanding product offering. They will also have the privilege of directly interacting with regional portfolio and product management teams, fostering effective collaboration and driving strategic impact.
I am looking for a Risk Management Professional with a proven track record in managing risks associated with illiquid and real asset investments. In-depth knowledge of incorporating ESG factors into risk assessment methodologies for these asset classes is essential. The ideal candidate will possess a solid understanding of core risk management principles, asset management specific to illiquid and real assets, and the relevant regulatory landscape.
If your skillset meets the above criteria, please apply or send your CV to hadjra.sohawon@goodmanmasson.com.
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