Senior Manager IM/PERE Risk & Regulatory Reporting
Veröffentlicht am 28/01/2025

Deloitte Luxembourg
Join a global company with a Human touch
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Deloitte Luxembourg welcomes you to a positive and flexible work environment. You’ll discover our remarkable new premises, located in Cloche d’Or, Luxembourg’s fastest growing Business Hub.
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With more than 2,500 employees and 70 nationalities, our multicultural environment promotes a culture of inclusion, trust and recognition. Deloitte combines the power of a global network, with the agility of startup minded teams.
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Join us and live with us the Deloitte experience.
Our Investment Management risk & regulatory reporting experts are specialized in Investment Risk Management topics, market and liquidity risk reporting solutions, modelling of other risk categories (sustainability, credit) as well as regulatory reporting related challenges.
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What you will do :
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- Use your expertise and experience to deliver high quality regulatory and advisory risk services to global asset managers of liquid and alternative investment funds
- Assist our investment management clients in the design, review and implementation of their risk management framework, covering market, liquidity, credit, counterparty and sustainability risks; including the reporting of these risks
- Support risk management activities with ad-hoc advice, guidance, training or secondment
- Manage a diverse team of talented (senior) consultants, investing in the development of staff and coaching them to their highest potential
- Monitor new regulations, market practices and trends (such as liquidity risk, sustainability risks, digital assets) by interacting regularly with our clients, regulators, industry bodies and peers
- Cultivate a network of client counterparts, support your stakeholders with technical knowledge and develop new business relationships in line with our client-centric values
- Collaborate with other service lines on internal initiatives
- Participate in the identification of business opportunities and contribute to the expansion of our team in specific areas of IM Risk & Regulatory reporting.
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- At least 8 years' experience in the financial sector (management company, asset manager, professional services firm) in a risk management or regulatory reporting position
- Strong knowledge of investment funds (liquid and alternative), financial instruments, risk models and metrics, non-financial risks
- Proven experience with the different regulations impacting the fund industry is a plus
- Certifications like CAIA and FRM are considered as a strong asset
- Appetite for serving clients, share knowledge and grow on a continuous basis
- Team player and leader, coaching and developing others
- Fluent in English. French or German is an asset