Head of Private Markets Risk

  • competitive
  • London, England, Großbritannien
  • Festanstellung, Vollzeit
  • Hazel Cameron Associates Ltd
  • 23 Nov 17 2017-11-23

Our client is a major Investment Manager with a large private markets portfolio. The Head of Private Markets Risk is a key strategic hire. The successful individual will lead in creating a world class, innovative approach to private markets risk management. The ideal candidate will have experience in private markets (e.g. infrastructure, real estate, direct lending, private equity) and an understanding of structured/corporate finance concepts. Long experience in private markets/illiquid investments risk modelling and good programming skills (VBA, Matlab) are also desirable.

Delivering Results:

  • Lead the development, buy-in and execution of a strategic plan for PMR in partnership with the Private Markets Group Investment and Strategy teams.
  • Take responsibility for  Risk Analysis, Benchmarking, Performance and Valuation reviews and projects for Private Markets Investments and new asset classes in general.
  • Lead the development of innovative analytical methods to improve top-down risk modelling framework of private assets. This will involve researching, adapting and implementing the latest techniques, tools and solutions.
  • Lead high-priority projects involving private markets investments by developing and executing on appropriate methodologies, analytics and project milestones to create effective partnerships with key stakeholders.
  • Lead the development of an efficient and effective process for review, challenge and validation of the valuations of the largest private investments.
  • Take the lead in proactively raising the level of engagement and partnership with investment team at senior levels.
  • Lead the development of enhanced reporting that provides assurance and insight
  • Oversee, improve on and update relevant policies and procedures

Skills (essential)

  • Numerical degree in Finance, Statistics, Mathematics, Engineering or similar
  • Good understanding of structured finance and corporate finance concepts and their application to private market assets
  • Excellent written and verbal communication skills providing clear communications both at a technical level and a level appropriate for board members
  • Experience of management of direct reports or team
  • Deep understanding of financial markets and instruments

Desirable skills:

  • Long experience in private markets/illiquid investments risk modelling
  • Experience working with and manipulating time series data and conducting statistical analyses
  • High degree of computer literacy, ability to programme in Excel VBA or MatLab