Portfolio Risk Analyst Investment Analyst

JOB PURPOSE
The Portfolio Risk Analyst is responsible for conducting pre and post-investment risk management, investment-specific compliance and fund administration responsibilities under the guidance and supervision of the Portfolio Risk Manager.

KEY RESPONSIBILITIES AND ROLE REQUIREMENTS

Portfolio Risk Management
Investment specific compliance
Fund Administration
Stakeholder Engagement
Carry out any other duties or special assignments as assigned by the Portfolio Risk Manager.

PERSON SPECIFICATIONS – ESSENTIAL AND DESIRABLE
Qualifications and Education

Bachelor’s Degree in Finance, Investments, Law or related discipline
Relevant professional qualification and/or post-graduate qualification in risk management
Excellent skills in written and spoken English

Experience, Knowledge and Skills

At least 3-5 years of risk management/compliance experience in a financial markets organization with a demonstrated track required in quantitative and qualitative risk analysis, project management and building relationships

Desirable

Experience of working in a multi-cultural environment
Previous experience of working in donor funded projects or development institutions
Keen interest in growing career in an investment company/fund
Languages: French, local African languages

received by 5.00pm EAT on 04 April 2022

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