Solid understanding of regulatory frameworks in the fund/KVG environment (notably AIFMD, KAGB, MaRisk and relevant CSSF circulars), combined with proven ownership of risk frameworks and senior-level interaction with management and regulators * Proven ability to produce clear, decision-ready risk reporting and present it to senior stakeholders - 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. * End-to-end responsibility for fund and securities risk management across alternative assets, with a strong focus on credit portfolios, private debt, structured credit and multi-asset strategies, including market, liquidity and credit risk management for liquid and semi-liquid fund structures
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