Company description: Currently working with a Global Tier 1 Asset Management firm, seeking a Senior Risk Manager to join their Luxembourg based team. Job description: Role Responsibilities: Hybrid risk roles that will cover both Financial Risk and Non-Financial Risk responsibilities. Investment Risk: · Develop and maintain a high standard of investment risk analysis and reporting across various asset classes at investment, fund and client portfolio levels. · Maintain and enhance data modelling and reporting systems & workflows for investment risk processes. · Maintain and enhance investment risk data, models, systems and reporting processes for the firm’s investments and funds. Non-Financial Risk: · Incident Management and Incident Reporting · Analysis of Top Risks, Production of Key Risk Indicators, Incident Reporting and Risk Profiling Required profile: Essential Required Experience: · Previous experience with UCITS and/or AIFs (Real Estate/Private Equity/Debt). · 8 years plus years of relevant work experience within Risk Management in asset management industry. · Strong quantitative and programming skills with good proficiency in Excel VBA and experience in using Bloomberg. · A sound understanding of return and risk characteristics of various asset classes. · Business level French would be preferred but not essential. Salary range €90,000 - €120,000 Location: Luxembourg Job Type: Permanent What we offer: Competitive Salary on offer and benefits package. Senior platform to influence stakeholders and be part of startegic decision making.