- Exposure to end-to-end investment risk management
- Work closely with cross-functional teams and senior stakeholders
About Our Client
Our client is a reputable investment institution with a strong focus on portfolio and disciplined risk management. Known for the structured investment approach and commitment to long-term value creation across diverse sectors.
Job Description
- Conducting detailed financial analysis to evaluate investment opportunities.
- Assessing and managing investment risks to ensure alignment with organisational goals.
- Preparing comprehensive reports and presentations for stakeholders.
- Collaborating with cross-functional teams to support investment decision-making processes.
- Monitoring market trends and identifying potential risks and opportunities.
- Ensuring compliance with regulatory requirements and internal policies.
- Supporting the development and implementation of investment strategies within the public sector.
- Providing insights to enhance the organisation's banking and financial services portfolio.
The Successful Applicant
- Bachelor's or Master's degree from a reputable university in a relevant field.
- Minimum 5 years of experience in risk management, transaction valuation, M&A, or related areas.
- Prior exposure to buy-side investment firms, financial advisory, or venture capital is advantageous.
- Strong experience in financial modeling, analysis, and transaction review.
- Professional certifications such as CFA or FRM are a plus.
- Excellent analytical thinking, attention to detail, and problem-solving skills.
What's on Offer
- Opportunity to work on high-impact investments within a structured and dynamic environment.
- Strong learning and career growth potential with exposure to senior stakeholders and strategic decision-making processes.
Contact:
Quote job ref: JN-052026-7022978