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 - Assets under management of approximately EUR 10 billion and more than 160 structured investment vehicles form the foundation of our long‑term, forward‑looking consideration and decision‑making
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