With 40 years of experience as an asset and investment manager, UniCredit Invest Alternatives GmbH is among the most respected and leading experts for real asset investments in Germany. In this role, you will develop new innovative Investment & product solutions in close cooperation with Portfolio Management, within the group, and structuring colleagues and take responsibility as Risk Manager for these across the entire product and investment lifecycle. * Providing cover and deputy support within Risk Management, particularly for credit portfolios, private debt/credit, private equity and the Management Company (KVG) * Several years' experience in risk management of liquid alternative strategies, including structured products, credit, equity, volatility and risk-premia strategies, with demonstrated experience in analysing non-linear risk profiles and derivative payoff structures
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