• £80,000 - £200,000
  • London, England, United Kingdom
  • Permanent, Full time
  • Barclay Simpson
  • 2018-07-09

Investment Risk Manager / Market Risk Manager

Our client is a Sovereign wealth firm based in London. Focused on Real Estate and infrastructure, our client is looking for a Risk Manager to report into the Head of Risk & Compliance. Please note that our client does not have any financial products and this role will be 100% focused on Real Estate & Infrastructure.

Our client is a Sovereign wealth firm based in London. Focused on Real Estate and infrastructure, our client is looking for a Risk Manager to report into the Head of Risk & Compliance. Please note that our client does not have any financial products and this role will be 100% focused on Real Estate & Infrastructure.

 

Our client is a London based organisation is looking for a Risk Manager with strong interpersonal skills who can understand their products and business to deliver a comprehensive risk structure.

This is a Head of Risk position, reporting into the Head of Risk & Compliance. As the Head of Risk, the role will be largely investment risk focused looking at interest rate and foreign exchange risk and the risks associated with Real Estate and Property.

Candidates are likely to come from a multi asset investment risk role where they look after Real Estate as a part of their portfolio. It is essential to have some Real Estate or Infrastructure experience (albeit this may only be 10-20% of the candidates current role), however our client is pragmatic and does expect that there will be a learning curve for the individual.

 

If you are interested in finding out more, please get in touch urgently as we have two candidates at interview stage. This is an exclusive role with Barclay Simpson.

London, England, United Kingdom London England GB