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Junior Risk Management Officer (m/f)
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ONE is certified Great Place to Work 2024 and has been awarded Best Workplace Luxembourg and Europe 2023.

ONE group solutions provides next generation fund management solutions delivered by a hand-picked team of senior industry experts and supported by NextGen technology. We provide third-party Management Company, Corporate Secretary, Regulatory and Strategic Consulting, and Governance Technology solutions. The group, headquartered with full substance in Luxembourg, provides Fund Governance solutions to asset, wealth and fund managers from around the globe and has additional offices in Dublin, London, Porto and Zurich.

Risk Management Officer (m/f)

The Risk Management Officer is mainly responsible for conducting risk monitoring tasks, such as identifying, analysing, and reporting potential risks based on the fund's objectives and risk profile. The Risk Officer should also be a dependable source on matters of risk management for clients, management, and the Board of Directors, providing expert advice, guidance, and training on risk mitigation strategies and best practices. Additionally, the Risk Officer is responsible for developing and implementing risk policies and procedures, ensuring compliance with relevant laws and regulations, and coordinating with internal and external auditors.

Responsibilities and Duties

  • Understand the company’s risk profile, help maintain and update the risk processes and procedures;
  • Monitoring of Funds: Pre (in case of alternative illiquid mandates) & Post controls on Investment Restrictions and Investment Policies;
  • Setting up regulatory, prospectus and internal rules in the control systems;
  • Update and monitoring of regulatory framework (ESMA, CESR, EMIR, SFDR/ESG etc…);
  • Risk Management, including risk profile exercise for both liquid and illiquid Funds;
  • Ongoing monitoring on the risks a Fund can be exposed to, such as Market, Credit, Liquidity, Counterparty and Operational risks;
  • Production of indicators, risk analyses, possible overruns and executive summaries to the various stakeholders (Executive Committee, fund managers and Boards of Directors);
  • Involved in regulatory reporting (AIFMD/Annex IV, UCITS risk reporting, ad-hoc requests…), be able to answer on any Auditors, Risk Managers or Portfolio Managers ad-hoc questions related to Risk Management;
  • Conduct analysis on relevant subjects, such as change of risk metrics, risk limits and/or risk profile for a Fund;
  • Liaise with fund managers or clients as well as with auditors (both internal and external);

Qualifications

  • Graduate in Finance/Mathematics/Economics or similar qualification;
  • Limited experience in the job activity is welcome
  • Fluent in English, other language can be considered as an advantage;
  • High interest for the funds industry sector and more particularly for the risk aspects;
  • Knowledge of investment fund regulatory framework would be considered as an asset;
  • Ability to effectively communicate with all teams and all levels of the organization;
  • Strong organizational and computer skills;
  • Being team player with an ability to work independently.

We offer:

  • An entrepreneurial working environment in a young and motivated team;
  • A multicultural environment where we promote diversity, talent & ideas;
  • The ability to work and interact with a wide variety of specialists;
  • Internal trainings and career development.

Interested?

If you are interested in this job opportunity, we are looking forward to receiving your application.

All applications will be treated confidentially.

Be informed that a clear police record is requested.

Apply now

Open positions

You can have the best technology and the most efficient processes in the world, but if you don’t have the people to operate them, your business is worth very little. Thus, our biggest asset is our team of professional and passionate experts. Join our team today!