Puesto
Risk Manager Real Assets
Madrid.
Alternative Investments Multinational
Nº Referencia: 1187
Funciones
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Risk Management for the real assets business unit.
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Release In-depth analysis of investment proposals including all supporting documentation in the area of real assets.
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Active role in the structuring of transactions from a risk perspective.
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Risk management during the operational phase of the assets.
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Review of business cases and preparation of a risk opinion at asset and product level.
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Involvement in strategic discussions and enhancement of risk management capabilities and tool set.
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Preparation of risk reports to the Executive Board.
Contrato
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Permanent
Experiencia
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Several years of professional experience ideally in risk management in the area of real assets, preferably with a focus on real estate (alternatively renewable energies).
Formación
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Degree in business administration / economics, ideally with a focus on corporate finance, or similar qualification.
Requisitos
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Good knowledge of financial and cash flow models as well as risk measurement procedures (in particular market and credit risks)
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Good understanding of asset and investment themes and the associated business cases.
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Willingness to travel to our locations in Hamburg and Luxembourg.
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Strong analytical skills and a very good understanding of numbers.
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Results-oriented, independent work with the ability to prioritise and a high level of quality awareness.
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Very good MS Office knowledge, in particular in-depth user knowledge of Excel.
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Fluent in Spanish and English, other foreign languages are an advantage.
