Requirements: English
Company: Bailey & French
Region: Paris , le-de-France
Senior Investment Risk Consultant / Manager *sponsorship not provided* Location: Paris | Luxembourg | Brussels Language: French or Dutch and English (essential) Background: Experience working with Financial Services Institutions (banks / insurers / asset management etc.) Are you ready to influence strategic investment decisions through sharp risk insights? Our client, a leading financial services consultancy, are offering the opportunity to become part of a dynamic team driving risk management transformation across Europes top financial institutions. About Them: This client specialising in Governance, Risk Finance Transformation, Capital Treasury, Quantitative Modelling, Compliance, and Regulatory Advisory. They work with major players in investment banking, retail and commercial banking, custodian services, insurance, and asset management. What Youll Do: As an Investment Risk Consultant or Manager, youll play a critical role in safeguarding and optimizing high-value investment portfolios across the financial services and asset management landscape. Your responsibilities will include: Risk Monitoring Communication: Assess portfolio risks continuously and deliver clear, insightful updates to investment teams and executive leadership. Portfolio Risk Analysis: Analyze new and existing products to identify and manage evolving risk exposures. Data-Driven Insights: Combine quantitative models and qualitative judgment to highlight trends and deliver actionable intelligence. Stakeholder Engagement: Present findings to senior stakeholders including fund boards, investment teams, and risk committees. Strategic Projects: Lead or support enhancements to risk models, reporting frameworks, and analytics tools. Team Collaboration: Mentor or manage junior risk analysts and support team growth and knowledge-sharing. Who You Are: You bring a mix of strong technical capability, financial insight, and communication finesse. Required Qualifications: ~ Bachelors degree in Mathematics, Statistics, Computer Science, Data Science, or Financial Engineering ~ Master's degree in a quantitative or finance-related discipline (preferred)~39 years of experience in investment risk management, risk consulting, or a related field ~ Familiarity with risk systems such as Bloomberg PORT, Aladdin, or equivalent tools ~ Progress toward or completion of CFA or FRM is a plus ~ Excellent communicatorable to distill complex risk issues into clear insights ~ Self-starter with strong organizational skills and the ability to manage competing priorities In Return: Work with leading global financial institutions Be part of high-impact projects that shape the future of risk management Enjoy a collaborative and entrepreneurial culture Access to continuous training, certifications, and career progression opportunities Attractive compensation benefits aligned with your experience and growth