Responsibilities
1. Lead risk oversight forplex transactions and provide formal risk input at Investmentmittee.
2. Engage closely with front-line investment teams across Europe on both pre- and post-deal analysis.
3. Develop and implement robust investment risk frameworks, tools, and reporting practices.
4. Represent Group Risk in senior forums related to investment and portfolio management.
5. Conduct post-acquisition, independent thematic reviews.
6. Collaborate cross-functionally, including with ESG andpliance, to integrate broader risk considerations.
About You
We are looking for a proactive,mercially aware professional with:
7. Significant experience in investment risk management, underwriting, valuation or lending, ideally from a fund or banking environment.
8. Deep knowledge of distressed debt, private credit, and real estate investments.
9. Strong academic background – Bachelor’s degree in a relevant field; CFA, CAIA or FRM preferred.
10. Confident stakeholder management andmunication skills –fortable working across functions and jurisdictions.
11. A strategic mindset with hands-on capability, able to influence across the investment lifecycle.
Why Apply?
12. Strategic impact – work closely with senior decision-makers and influence deal oues.
13. Collaborative culture – engage directly with investment, ESG, and risk teams in a dynamic environment.
14. Flexible working – roles available across multiple locations with hybrid or remote options.
Job ID gec/43567