Senior Risk Manager – Alternative Investment Funds
Location: Luxembourg
Overview
A growing advisory firm is seeking a Senior Risk Manager to support investment fund managers with regulatory and operational risk management solutions, particularly across private asset strategies.
Key Responsibilities
Act as delegated Risk Manager or Conducting Officer on secondment to IFMs.
Design and update risk frameworks, including policies, procedures, and limits.
Perform ongoing risk monitoring and pre-investment risk reviews.
Produce and present risk reports to governance bodies and committees.
Conduct gap analyses and support regulatory readiness assessments.
Deliver client and internal training on risk management topics.
Requirements
5 years of experience in asset management, including 3 in Luxembourg risk functions.
Deep understanding of private asset classes (PE, RE, PD, infra).
Strong knowledge of AIFMD and related EU risk regulations.
Master’s degree in finance, economics, or a related field.
Fluency in English and French; excellent communication skills.
Professional certifications (CFA, CAIA, FRM) considered a plus.
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