Added: 2025-05-28 14:48.00
Updated: 2025-05-30 03:09.25

Senior Investment Risk Manager

Paris , le-de-France, France

Type: n/a

Category: Finance & Accounting

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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
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