Dein persönlicher KI-Karriere-Agent
Risk Manager Alternative Assets (Liquid Assets)(m/w/x)
Fund and securities risk management for structured products and new investment funds at a pan-European commercial bank. Expertise in limit, leverage, liquidity management and fund/KVG regulatory knowledge required. Flexible work hours.
Anforderungen
- Degree in Economics, Finance, Mathematics or comparable qualification
- Experience in risk management of liquid alternative strategies
- Expertise in limit, leverage and liquidity management
- Understanding of fund/KVG regulatory frameworks
- Advanced MS Excel skills
- Ability to produce and present risk reporting
- Excellent written and spoken English
- Proactive, diligent and accountable teamwork approach
Aufgaben
- Manage fund and securities risk for alternative assets
- Focus on liquid strategies and structured products
- Oversee market, model, and liquidity risk management
- Design and launch new fund and investment products
- Monitor risk activities throughout the investment lifecycle
- Ensure compliance with regulatory and investment limits
- Perform stress testing and scenario analysis for derivatives
- Produce and enhance risk reporting for governance bodies
- Act as a sparring partner for Portfolio Management
- Collaborate with teams at UniCredit SpA and Bank GmbH
- Provide deputy support for credit and private equity portfolios
- Contribute to strategic projects for alternative asset classes
Berufserfahrung
- ca. 1 - 4 Jahre
Ausbildung
- Bachelor-Abschluss
Sprachen
- Englisch – verhandlungssicher
- Deutsch – Grundkenntnisse
Tools & Technologien
- MS Excel
- risk management systems
- portfolio systems
Benefits
Flexibles Arbeiten
- Flexible work hours
Team Events & Ausflüge
- Vibrant community
Lockere Unternehmenskultur
- Supportive team
- Open communication
Sonstige Vorteile
- People empowerment
Gefällt dir diese Stelle?
BetaDein Career Agent findet täglich ähnliche Jobs für dich.
Noch nicht perfekt?
- Wealthcap Kapitalverwaltungsges.mbHVollzeitnur vor OrtBerufserfahrenMünchen
- Wealthcap Kapitalverwaltungsges.mbH
(Senior) Portfolio Manager Multi-Credit(m/w/x)
Vollzeitnur vor OrtBerufserfahrenMünchen - State Street
Market Risk, Vice President(m/w/x)
Vollzeitnur vor OrtSeniorMünchen - Donner & Reuschel AG
Manager Risiko- und Auslagerungsmanagement(m/w/x)
Vollzeitnur vor OrtBerufserfahrenHamburg, München - Verifone
Enterprise Risk Manager Finance(m/w/x)
Vollzeitnur vor OrtManagementMünchen
Risk Manager Alternative Assets (Liquid Assets)(m/w/x)
Fund and securities risk management for structured products and new investment funds at a pan-European commercial bank. Expertise in limit, leverage, liquidity management and fund/KVG regulatory knowledge required. Flexible work hours.
Anforderungen
- Degree in Economics, Finance, Mathematics or comparable qualification
- Experience in risk management of liquid alternative strategies
- Expertise in limit, leverage and liquidity management
- Understanding of fund/KVG regulatory frameworks
- Advanced MS Excel skills
- Ability to produce and present risk reporting
- Excellent written and spoken English
- Proactive, diligent and accountable teamwork approach
Aufgaben
- Manage fund and securities risk for alternative assets
- Focus on liquid strategies and structured products
- Oversee market, model, and liquidity risk management
- Design and launch new fund and investment products
- Monitor risk activities throughout the investment lifecycle
- Ensure compliance with regulatory and investment limits
- Perform stress testing and scenario analysis for derivatives
- Produce and enhance risk reporting for governance bodies
- Act as a sparring partner for Portfolio Management
- Collaborate with teams at UniCredit SpA and Bank GmbH
- Provide deputy support for credit and private equity portfolios
- Contribute to strategic projects for alternative asset classes
Berufserfahrung
- ca. 1 - 4 Jahre
Ausbildung
- Bachelor-Abschluss
Sprachen
- Englisch – verhandlungssicher
- Deutsch – Grundkenntnisse
Tools & Technologien
- MS Excel
- risk management systems
- portfolio systems
Benefits
Flexibles Arbeiten
- Flexible work hours
Team Events & Ausflüge
- Vibrant community
Lockere Unternehmenskultur
- Supportive team
- Open communication
Sonstige Vorteile
- People empowerment
Gefällt dir diese Stelle?
BetaDein Career Agent findet täglich ähnliche Jobs für dich.
Über das Unternehmen
Wealthcap Kapitalverwaltungsges.mbH
Branche
FinancialServices
Beschreibung
Das Unternehmen ist eine paneuropäische Geschäftsbank, die ein einzigartiges Produkt- und Service-Angebot in Italien, Deutschland sowie Zentral- und Osteuropa bietet.
Noch nicht perfekt?
- Wealthcap Kapitalverwaltungsges.mbH
(Senior-) Risk Manager Alternative Assets (Debt/Credit)(m/w/x)
Vollzeitnur vor OrtBerufserfahrenMünchen - Wealthcap Kapitalverwaltungsges.mbH
(Senior) Portfolio Manager Multi-Credit(m/w/x)
Vollzeitnur vor OrtBerufserfahrenMünchen - State Street
Market Risk, Vice President(m/w/x)
Vollzeitnur vor OrtSeniorMünchen - Donner & Reuschel AG
Manager Risiko- und Auslagerungsmanagement(m/w/x)
Vollzeitnur vor OrtBerufserfahrenHamburg, München - Verifone
Enterprise Risk Manager Finance(m/w/x)
Vollzeitnur vor OrtManagementMünchen