VP Investment Risk

Michael Page Banking and Financial Services
South West London
£75000 - £100000 per annum
20 Apr 2017
20 May 2017
Contract Type
Full Time

The candidate will be working in the risk management identifying and managing risks for real estate and infrastructure businesses

Client Details

Fund Manager


Establish and maintain risk frameworks in terms of risk management policy and procedure to keep abreast of latest business development

Responsible for developing and maintaining risk models for the management of market risk, credit risk and operational risk

Identify and monitor various risks that the portfolio may face

Based on the analysis of the risk characteristics of the current portfolio and the underlying assets, propose optimised recommendations against benchmarks and the investment guidelines

Assess the risk of potential investment projects and providing advice for investment decisions

Research, analyse and report the relevant risk events which have impact on the business


A detailed technical understanding of risk management methodology within an investment environment

Knowledge of real estate and infrastructure investment vehicles would be an advantage

Considerable knowledge and experience of best practice risk management and governance frameworks in relation to real assets investment

Proven experience in overseeing a number of risk types, with a particular emphasis on market risk, credit risk and operational risk

Effective management of multiple tasks and competing priorities

Effective report writing and excellent presentation skills

Job Offer

VP level role playing a competitive base salary and benefits package