Company description: My client is a Global Tier 1 Asset Management firm looking to hire a Risk Manager to join their Luxembourg based team. Job description: Responsibilities: · The position will cover both financial and non-financial risk responsibilities. · Support the drafting of risk policies and procedures. · Support in post trade investment compliance monitoring process and reporting. · Support in preparing risk management presentations. · Partnering with the Portfolio Management team - Review and document discussions relating to Investment risk. Required profile: Ideal Candidate: · 3-5 years’ experience in Risk Management in the Investment Management Industry, ideally with a strong working knowledge of alternative investments. · Desirable – an understanding of credit/private debt instruments · Fluency in English – both written and oral. · Excellent communication skills. What we offer: Competitive salary and benefits package. Ongoing opportunities for career progression and broad scope of responsibility.