Risk Manager - AIF (full time) Risk Manager - AIF (full time) …

XOLARIS Service Kapitalverwaltungs-AG
in Vaduz, Lichtenstein
Permanent, Full time
Be the first to apply
XOLARIS Service Kapitalverwaltungs-AG
in Vaduz, Lichtenstein
Permanent, Full time
Be the first to apply
XOLARIS is hiring!

XOLARIS Group is a 100 % independent and privately financed specialist for the conception of investment solutions in the world of real assets. XOLARIS is a full-service providing Management Company (“ManCo”) and a highly appreciated partner in finding individualized solutions for its client’s specific needs while making sure that its clients are able to concentrate on their core duties. As an independent ManCo, we therefore offer investment services within regulatory guidelines to its clients and assume responsibility of the statutory requirements in the interest of the investors. We run our own AIFMs in the heart of Europe and operate our own administration unit, which is securing the ability to suit the individual objectives of each client. We operate offices in Liechtenstein, Germany, France, Hongkong and soon in Singapore.

For our operations in Liechtenstein we are currently looking for a Risk Manager - AIF (full time)

You should have profound experiences in the world of real assets, liquidity and risk calculation and / or fund documentation for an asset manager, investment bank or fund administrator and you should be ready for the next step in your career.

Your responsibilities will include:

  • Definition and measurement of risk parameters for Alternative Investment Funds (“AIF”) based on their individual structure, business calculation and constitutive documentation
  • Being in charge for risk onboarding of new AIF and the ongoing risk measurement and management of the respective portfolios
  • Being in charge for the liquidity management and stress testing of the respective portfolios
  • Taking care of being compliant of the European AIFM directive and the individual national legal frameworks (e.g. AIFMG, AIFMV, etc.)
  • Being part of the team that is taking care of internal and external reporting obligation
  • Preparation of quarterly risk reports of respective AIFs
  • Execution of the existing process chain combined with the opportunity to improve them
  • Work closely together with the other teams, offices and specialists of the XOLARIS Group

Your skills/experiences:

  • Degree holder, qualified with a financial, legal or analytical discipline preferred
  • At least 3 years’ experience within the real asset market
  • You have a strong technical understanding of Alternative Investment Funds – especially in the asset classes private equity, renewable energies and real estate
  • You have proven experiences in liquidity management as well as definition and measurement of risk parameters
  • You should be aware of the external reporting obligation
  • You have the ability to prioritize multiple responsibilities to meet internal and external deadlines
  • You have an entrepreneurial mind-set
  • You are fluent in English (German and French are advantages)

WE ARE OFFERING a position in a dynamic working environment, an enjoyable team atmosphere and a performance-linked remuneration. Personnel development and support are core elements of our strategic personnel policy. We are looking for you!

ARE YOU INTERESTED? Then we should meet. Please email us your personal application and let us know why you are the right candidate for our further growth. Please send the documents to Mr. Kai Renning via the apply button.
Please attach also all supporting documents and certificates, and let us know your desired compensation and starting date.

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