Risk Analyst / Risk Manager (Credit / Market) – based in UAE recruitment
Specific responsibilities will include assisting in the design, development and implementation of a new risk platform that will manage the risk of all ‘non-listed’ investments across an expansive portfolio of highly diversified asset classes, including real estate and infrastructure, and active investment management strategies. The ideal candidate will be educated to postgraduate level, preferably holding a Masters degree from one of the leading global Universities in a quantitative / mathematical based discipline. Having a good understanding of the different types of Hedge Fund Strategy is Read more […]