Senior Investment Risk Analyst - Private Markets

Senior Investment Risk Analyst - Private Markets

Full-Time 43200 - 72000 £ / year (est.) No working from home possible
M&G

At a Glance

  • Tasks: Join us as a Senior Investment Risk Analyst, managing risks in private market investments.
  • Company: M&G is a leading international savings and investments business with over 170 years of experience.
  • Benefits: Enjoy flexible working arrangements and workplace accommodations tailored to your needs.
  • Other info: We celebrate diversity and welcome applications from all backgrounds, including those with disabilities.
  • Why this job: Be part of a collaborative culture that values integrity and offers impactful financial solutions.
  • Qualifications: 3+ years in investment risk management, strong analytical skills, and a finance-related degree required.

The predicted salary is between 43200 - 72000 £ per year.

At M&G our purpose is to give everyone real confidence to put their money to work. As an international savings and investments business with roots stretching back more than 170 years, we offer a range of financial products and services through Asset Management, Life and Wealth. All three operating segments work together to deliver attractive financial outcomes for our clients, and superior shareholder returns.

Through our behaviours of telling it like it is, owning it now, and moving it forward together with care and integrity; we are creating an exceptional place to work for exceptional talent.

We will consider flexible working arrangements for any of our roles and also offer work place accommodations to ensure you have what you need to effectively deliver in your role.

The Role: Senior Investment Risk Analyst - Private Markets

The Senior Investment Risk Analyst reports to the Head of Investment Risk. The role will involve working closely with the Private Markets team and other relevant departments to identify, assess, and manage investment risks associated with private market investments.

The role holder will be responsible for developing and implementing risk management frameworks, conducting risk assessments, and providing expert advice on risk mitigation strategies. They will also be responsible for monitoring and reporting on risk exposures and ensuring compliance with regulatory requirements.

Key Responsibilities for this role:

  • Develop strong and productive working relationships within the Private Markets Investment team to ensure they understand their investment risks and have controls and processes in place.
  • Work closely with business and functions stakeholders, providing opinions and views on the status of investment risk controls to ensure service continuity and customer protection.
  • Embed the Investment Risk Framework within the business to help drive the risk management agenda.
  • Become a valued business partner for the Private Markets team, providing investment risk advice to deliver a seamless risk management framework, owned and operated by the business.
  • Undertake ad hoc project analysis as necessary to support new product initiatives.
  • Analysing model portfolios at pre-launch stage for market and liquidity risk analysis.
  • Designing and building insightful analysis on portfolios for discussion with senior analysts and fund managers across a range of products and investment strategies.
  • Undertaking of independent research aimed at uncovering portfolio/market risk insights which can aid fund managers in improving the investment management process.
  • Participation in cross-departmental initiatives in order to foster greater collaboration with the wider investment risk team
  • Work with the performance teams to link risk analysis with fund performance.
  • Undertake ad hoc risk analysis as part of the fund management team dialogue and from Sales/Client interaction.

Key Knowledge, Skills & Experience:

  • Stakeholder relationship and strong leadership skills.
  • Experienced in change management and governance.
  • Demonstrable knowledge of industry standards and best practice in investment risk management.
  • Solid working knowledge of risk management.
  • In-depth understanding of private market investments and associated risks. 3 years\'+ experience in a private markets investment risk or similar role at an asset management house or other financial services organisation.
  • Some experience working in an investment facing market risk role, other quantitative finance role or in a position through which the candidate has been able to gain a high-level understanding of private markets portfolio management would be preferred.
  • A good degree in a finance related or quantitative subject. CFA qualified desirable.
  • ESG knowledge preferrable.
  • Experience coding in R, Python, SQL and/or PowerBI would be strongly preferred.
  • Experience with Aladdin desirable
  • Good communication skills. Comfortable in communicating ideas and analysis at different levels.
  • Experience dealing with large data-sets and strong quantitative numeracy highly desired.
  • Keen interest in learning and applying new skills.

Work Level: Manager Expert

Recruiter: Phoebe Ewers

We have a diverse workforce and an inclusive culture at M&G plc, underpinned by our policies and our employee-led networks who provide networking opportunities, advice and support for the diverse communities our colleagues represent. Regardless of gender, ethnicity, age, sexual orientation, nationality, disability or long term condition, we are looking to attract, promote and retain exceptional people. We also welcome those who take part in military service and those returning from career breaks.

M&G is also proud to be a Disability Confident Leader , and we welcome applications from candidates with long-term health conditions, disabilities, or neuro-divergent conditions. Being a Disability Confident Leader means that candidates who meet the minimum criteria of a job, will be offered an interview if they \'opt in\' to the scheme when applying.

Ifyou need assistanceor an alternative means of applying for a role due to a disability or additional need,pleaselet usknow by contacting us at: careers@mandg.com

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Senior Investment Risk Analyst - Private Markets employer: M&G

M&G is an exceptional employer that fosters a collaborative and inclusive work culture, empowering employees to thrive in their roles. With a commitment to flexible working arrangements and a focus on employee growth, M&G provides ample opportunities for professional development within the dynamic field of investment risk management. Located in a vibrant financial hub, the company not only values diversity but also actively supports its workforce through various employee-led networks and initiatives, making it an ideal place for talented individuals seeking meaningful and rewarding careers.

M&G

Contact Details:

M&G Recruitment Team

StudySmarter Expert Advice🤫

We think this is how you could land Senior Investment Risk Analyst - Private Markets

Tip Number 1

Network with professionals in the private markets sector. Attend industry events, webinars, or local meetups to connect with individuals who work at M&G or similar firms. Building these relationships can provide you with insights into the company culture and the specific challenges they face in investment risk management.

Tip Number 2

Familiarise yourself with M&G's investment risk framework and recent projects. Understanding their approach to risk management and any recent initiatives will allow you to speak knowledgeably during interviews and demonstrate your genuine interest in the role.

Tip Number 3

Brush up on your technical skills, especially in R, Python, SQL, and PowerBI. Since these are preferred skills for the role, showcasing your proficiency in these areas can set you apart from other candidates and show that you're ready to hit the ground running.

Tip Number 4

Prepare to discuss your experience with stakeholder management and change governance. Be ready to share specific examples of how you've successfully navigated complex relationships and implemented changes in previous roles, as this aligns closely with the responsibilities of the Senior Investment Risk Analyst position.

We think you need these skills to ace Senior Investment Risk Analyst - Private Markets

Stakeholder Relationship Management
Leadership Skills
Change Management
Governance Knowledge
Investment Risk Management
Private Market Investments Expertise
Quantitative Analysis

Some tips for your application 🫡

Tailor Your CV:Make sure your CV highlights relevant experience in investment risk management, particularly in private markets. Use specific examples that demonstrate your skills in stakeholder relationship management and change governance.

Craft a Compelling Cover Letter:In your cover letter, express your passion for investment risk analysis and how your background aligns with M&G's values. Mention your understanding of private market investments and any relevant coding skills in R, Python, or SQL.

Showcase Your Quantitative Skills:Since the role requires strong quantitative numeracy, include any projects or experiences where you dealt with large data sets or conducted risk assessments. Highlight your analytical abilities and familiarity with tools like PowerBI.

Prepare for Potential Interviews:Anticipate questions related to risk management frameworks and your approach to mitigating investment risks. Be ready to discuss your previous experiences and how they can contribute to M&G's objectives in private markets.

How to prepare for a job interview at M&G

Understand the Role and Responsibilities

Make sure you have a clear understanding of the Senior Investment Risk Analyst role. Familiarise yourself with the key responsibilities, such as developing risk management frameworks and conducting risk assessments. This will help you articulate how your experience aligns with their needs.

Showcase Your Technical Skills

Highlight your experience with coding in R, Python, SQL, or PowerBI during the interview. Be prepared to discuss specific projects where you've used these skills, especially in relation to analysing large data sets or conducting market risk analysis.

Demonstrate Stakeholder Management Experience

Since the role involves working closely with various teams, be ready to share examples of how you've successfully built relationships with stakeholders in previous roles. Discuss how you’ve provided insights on investment risks and contributed to service continuity.

Prepare for Scenario-Based Questions

Expect questions that assess your problem-solving abilities in real-world scenarios. Think about past experiences where you identified and mitigated investment risks, and be ready to explain your thought process and the outcomes of your actions.