Job Description
Job DescriptionBG FUND MANAGEMENT LUXEMBOURG S.A. (BGFML) is a Management Company of UCITS funds and an Authorized Alternative Investment Fund Manager domiciled in Luxembourg which focuses on the Banca Generali Group’s mark-to-market asset management, offering a complete range of investment solutions. BGFML is part of Banca Generali Group.MID SENIOR RISK ANALYSTRISK MANAGEMENT DEPARTMENTPosition based in Luxembourg CityMain Responsibilities related to UCITS funds (Luxembourgish products):Risk Management as per the provisions of CSSF Circulars, ESMA guidelines (…)Support to the production, analysis and reporting of risk indicators at fund and security levels (financial market risk, liquidity risk, sustainability risk, …)Support to the periodical risk reporting line dedicated to the Senior Management and the Board of Directors of the Management Company / SICAVYour profile:5 years' professional experience in the same fieldMaster degree in economics, mathematics or statisticsExcellent skills on Excel and VBA (SQL other programming language being a plus)Knowledge of Luxembourg Fund IndustryGood knowledge of OTC productsExcellent writing skillsEnglish mandatory, Italian and / or French being a plusDemonstrated ability to manage stress effectively, multiple priorities and drive projects to completionStructured, details oriented and excellent organizational skillsHigh commitment, motivation and willingness to take responsibilitiesAbility to work in a multicultural environmentIF YOU FIT TO THIS PROFILE, PLEASE SEND YOUR CV AND MOTIVATION LETTER via jobs.luJobs.lu
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