Junior Risk Manager

Partners Group
Singapore, Singapore
04 Aug 2022
03 Sep 2022
Job Function
Risk Management
Industry Sector
Finance - General
Employment Type
Full Time
Partners Group is a leading global private markets investment manager. We serve about 900 institutional investors who seek superior investment performance through private markets for their more than 200 million beneficiaries. We have USD 109 billion in assets under management and more than 1,500 professionals across 20 offices worldwide. We realize potential in private markets by financing and developing great companies, desirable real estate, and essential infrastructure. We create value in our investments through active and long-term responsible ownership. Since inception, we have invested over USD 145 billion in private equity, private real estate, private debt and private infrastructure on behalf of our clients. The firm has been listed on the SIX Swiss Exchange since 2006 (symbol: PGHN)

What it's about
The Quantitative & Risk Management business unit is responsible for corporate, investment and portfolio risk management activities of Partners Group. The group also contributes in integrated business building activities in relation to tasks of quantitative nature.
We are now looking to add a junior risk manager to our growing team of 30+ members across Switzerland, Singapore, Denver and Luxembourg. This position will be based in Singapore. You will be part of the investment risk management team and have the following responsibilities:
  • Measure, monitor and manage risks in private market investment programs and underlying portfolio companies
  • Enhance our direct asset risk tracking monitoring process and quantitative model
  • Preparation of submissions and presentations for senior management and investment committees
  • Operation and enhancement of proprietary private markets systems and models
  • Modelling and analysis of private markets data
  • Reporting and analysis for internal and external stakeholders

What we offer
  • Learn from leading quantitative experts in the private markets industry
  • Challenging career path and intensive learning experience
  • Entrepreneurial and international working environment
  • Competitive salary with performance-oriented compensation models
  • Frequent interaction and visibility to senior management
  • Long-term career perspectives

What we expect
  • Maximum of 2 years of experience in risk management, hedge fund or other quantitative areas in public or private markets
  • University degree, with emphasis on Finance, Mathematics, Physics or similar quantitative background
  • Passion for numbers and quantitative analysis
  • Strong quality excellence and ability to work error-free
  • Professional qualification (e.g. CFA, FRM) desirable but not a requirement
  • Prior experience in computer programming (e.g. Python, SQL) is considered an advantage

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