As a specialized global asset manager, we take an entrepreneurial approach to sourcing opportunities. We offer targeted solutions across the equity, fixed income, multi-
asset, real estate, infrastructure and alternative asset classes, covering a range of approaches and styles. We employ top investment talents focused on matching the interests and needs of investors to the fast-
paced opportunities of tomorrow's markets.
A challenging position within Credit Suisse Energy Infrastructure Partners, a best-in-class industry partner for direct infrastructure investments.
We combine core competencies in asset management with sector-specific expertise and a deep industry network in the area of energy infrastructure.
You have a rare opportunity to take over a responsible position as Senior Risk Manager (e.g. market, fiduciary, liquidity, credit, operational, credit / counterparty, reputational, conduct risks) in a dynamic entrepreneurial business environment.
Your key responsibilities will include reviewing and analyzing energy infrastructure, transactions from a holistic risk management perspective as well as identifying, articulating and resolving risk and control issues.
Your commitment will include monitoring of existing investment structures, portfolios and individual assets and adding value by providing actionable insights to the origination and transaction team, as well as to portfolio management.
You will be providing a valuable input in the set-up of new client offerings, product documentations and portfolio construction.
Supporting senior management in the communication with the relevant regulatory bodies.
Preparing regular and ad-hoc reports to clients, regulators, management, board of directors and other partners
You join a visionary team, whose team spirit and specific expertise guarantee an exciting working environment and growth opportunities.
We are open to discuss flexible / agile working.
Are you a dedicated and highly motivated individual who establishes effective relationships with key partners and can make things happen?
Then, join us to develop our business and expand the frontier of modern Asset Management.
You have a master’s degree or equivalent, preferably in a quantitative discipline, e.g. Mathematics, Physics, Engineering, and Finance / Economics related field.
You worked at least 7 years experience in Risk Management area - in the energy sector (preferably in the financial industry).
You demonstrate proven analytical and computational skills in addition to a deep understanding of qualitative methodologies.
You show a demonstrated ability and profound knowledge of the lifecycle and economic models of infrastructure assets.
You communicate effectively, transparently, and present complex topics to a diverse range of audiences. You are a proficient problem solver with a positive personality and can-do attitude.
You possess strong collaboration skills and willingness to work in a fast paced, agile environment. With your dedicated and committed appearance you easily build up and maintain a sustainable working relationships.
You are fluent in English and German, any other languages are a plus
LI-CSJOB*Ms. A. Zaydowicz would be delighted to receive your application.
Please apply via our Career Portal.