Job details
- 40,000-80,000
- Luxembourg
- Permanent, Full time
- HSBC Investment Funds (Luxembourg) S.A.
- 31 Jan 14
Reporting to the Business Risk and Control
Manager and the Conducting Officers of HSBC Investment Funds
(Luxembourg) S.A. (HIFL), you will analyse, assess and evaluate market,
liquidity and operational risk information, will provide regular support
to the management company gathering, analysing and producing reports.
Principal Accountabilities:
You will be responsible for reviewing market, liquidity and operational risk reports on a regular basis, for escalating issues/concerns to your senior management and reporting such results. The focus will be on our global fund range with 60 active shares classes, with current assets in the region of USD 28bn.
You will support the Business Risk and Control Manager (BRCM) in his/her duties to ensure that monitoring is sufficiently robust. In addition, you will work closely with the investment management teams that are situated in different locations globally. You will be required to provide monthly and quarterly risk reports. You will proactively seek ways of enhancing the monitoring and work closely with colleagues in other locations.
In respect of new sub-fund launches, you will also be required to develop and implement new risk monitoring policies and ensue that these are reflected in the Risk Management Policy.
You will support the Conducting Officers in their role as day to day managers of HIFL.
Skills and Experience:
Principal Accountabilities:
You will be responsible for reviewing market, liquidity and operational risk reports on a regular basis, for escalating issues/concerns to your senior management and reporting such results. The focus will be on our global fund range with 60 active shares classes, with current assets in the region of USD 28bn.
You will support the Business Risk and Control Manager (BRCM) in his/her duties to ensure that monitoring is sufficiently robust. In addition, you will work closely with the investment management teams that are situated in different locations globally. You will be required to provide monthly and quarterly risk reports. You will proactively seek ways of enhancing the monitoring and work closely with colleagues in other locations.
In respect of new sub-fund launches, you will also be required to develop and implement new risk monitoring policies and ensue that these are reflected in the Risk Management Policy.
You will support the Conducting Officers in their role as day to day managers of HIFL.
Skills and Experience:
- Graduate in Economics or Finance;
- At least 3 years’ experience in the funds sector;
- Good technical skills in financial risk management (e.g. VaR models, VaR back testing, stress testing, leverage, liquidity risk measures) and financial instruments;
- Strong analytical, communication and relationship skills;
- Knowledge of the Luxembourg fund industry including the UCITS environment, EMIR obligations, and the obligations of a Luxembourg Management Company;
- Well organised and able to work independently;
- Team player;
- Knowledge of MS-Windows applications;
- Fluency in written and oral English. Fluency in French is an advantage.
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