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Mason Blake
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  • Senior Risk Manager  

    - Dublin Pike

    Our client, a high-performing Investment Management house, is looking for a Senior Risk Manager to join their Risk Team . Based at their offices in Dublin, the successful candidate will report directly to stakeholders within the risk and investment teams, whilst being responsible for the following duties: Ensuring risk is effectively managed and monitored, focusing on both the suite of UCITS and AIFs. Liquidity and stress testing for the Management Company. Providing credit risk monitoring and analysis on treasury counterparts, as well as supporting other financial risk reports and regulatory reporting requirements where needed. Leading the management of the regulatory risk and key company risk exposure analysis, credit, market, and investment. Preparation and co-ordination of materials for committees and the Board. The Senior Risk Manager will possess the following skillset: A Bachelor’s Degree in finance or a related discipline. 8 years experience within the Risk and Compliance space. Computer Skills: Solid competency with programmes such as SQL, Microsoft BI, Excel and Bloomberg. Leadership: Be able to lead development of the risk function across the business, whilst working co-operatively with other business associates. Organisation: Possess a pro-active approach to problem solving, managing multiple priorities at once, dealing with urgent problems as they arise. This is an ideal opportunity for an experienced Risk & Compliance professional looking to step into a fast-growing and distinctive investment management business. The company offers strong progression paths and excellent benefits including a competitive bonus structure. If you believe your experience meets the criteria, please apply with a copy of your CV. #J-18808-Ljbffr

  • Chief Investment Officer  

    - Dublin

    A highly regarded global asset management firm is looking to hire a CIO to be based in their growing Dublin office. This successful candidate will be responsible for the oversight of the full range of UCITS strategies. The investment team currently manages a diverse range of strategies across public equities and fixed income. Key Responsibilities: Oversight of all aspects of the investment process including investment strategy, investment performance, risk assessments, and analysing investment characteristics. Ensure strategies are adhering to client requirements. Report to the Management Board and be a key member of the Investment Committee. Play a key role in implementing ESG considerations across strategies. Participate in industry conferences and client meetings. Candidate Requirements: Experienced investment professional with a minimum of 10-15 years’ experience at an asset manager or asset owner. Extensive experience across equity or fixed income strategies. Degree educated, preferably with an investment industry qualification such as the CFA. Excellent communicator with strong interpersonal skills. Highly collaborative, team-oriented individual. Strong people management skills with the ability to lead successful teams. #J-18808-Ljbffr

  • Job details Location : Dublin Date Posted Category : Product Job Type : Permanent Job ID : J16569DR Description A highly regarded asset manager is seeking a Product Development Associate to join their well-established team based in London. The position offers the chance for a recent graduate with internships or a young professional with 3-5 years of experience in asset management to join a reputable organization where development opportunities will come thick and fast. Key Responsibilities Responsible for monitoring products throughout their lifecycle and conducting ongoing Service Reviews. Monitoring the existing product range to ensure it remains competitive (fund performance, fees, positioning) and to mitigate customer detriment risks where possible. Facilitating the development and implementation of new products from initial research through to launch, including conducting market research to establish a fund’s viability in the market, competitor landscape, and pricing. Analyzing the market and competitor landscape to identify general investment trends/themes and product flows. Working with internal departments to document business requirements for new products or enhancements to existing products and processes. Supporting client migration and post-implementation reviews. Ensuring that data from platforms is properly administered. Acting as system administrator for Salesforce CRM and liaising with the Salesforce developer to maintain accurate records. Experience and Qualifications Minimum 3-5 years’ experience in Asset Management. Excellent verbal and written communication skills. Fund Accounting experience is desirable. Good time-management and ability to work to multiple deadlines. Self-starter who can work independently when required. Ability to interact effectively with senior management and staff at all levels. Accuracy and good attention to detail. Mason Blake acts as an employment agency for permanent recruitment and an employment business for the supply of temporary workers. Mason Blake is an equal opportunities employer and welcomes applications regardless of sex, marital status, ethnic origin, sexual orientation, religious belief, or age. Apply for this job #J-18808-Ljbffr

  • Job details Location : Dublin Date Posted : [Insert Date] Category : Product Job Type : Permanent Job ID : J16569DR Description A highly regarded asset manager is seeking a Product Analyst to join their well-established team based in Dublin. The position offers the chance to work within asset management at a reputable organization where development opportunities will come thick and fast. Key Responsibilities : Supporting the Governance and Oversight structures for Product control for both Insurance products (unit linked and structured products) and Mutual funds (primarily UCITS). Support the drafting and delivery of high-quality Client and Regulatory (legal) product documentation for both Insurance and Funds products. Assist in Product Development throughout the entire product life cycle, including new product launches and existing product reviews. Input into the work of the broader department as required, responsible for Product Development including new product launches and enhancements based on market intelligence and structured product reviews. Production of marketing collateral to support the commercial positioning and distribution of investment solutions. Business Development including the development and delivery of Distributor supports to commercialize products. Manage ongoing projects for the delivery of important product-related initiatives such as new product launches and reviews. Work with the team to provide inputs and coordinate process re-engineering and automation projects. Develop and maintain strong relationships with internal and external stakeholders, and distributors to ensure continued communication and synergy between teams. 2-7 years’ experience within the funds industry. Fund accountant with a project management background or someone currently in a Product role within the funds industry with project management experience. Understanding of regulations e.g., MIFID II. Strong communication skills, excellent written and spoken English. Other languages; Italian, Spanish, and German would be an advantage. Mason Blake acts as an employment agency for permanent recruitment and employment business for the supply of temporary workers. Mason Blake is an equal opportunities employer and welcomes applications regardless of sex, marital status, ethnic origin, sexual orientation, religious belief, or age. Apply for this job #J-18808-Ljbffr

  • Information Risk Certification Assurance Analyst Job details Location: Dublin Date Posted: 19 January 2024 Category: Operations Job Type: Permanent Job ID: Information Risk Certification Assurance Analyst Salary: Competitive Description Our client is a leading investment firm that is looking for an Information Risk Certification Assurance Analyst to join their team in Dublin. The Information Risk team sits within the 2nd Line of Defence function , and is responsible for oversight and challenge of risk arising from the processing of the firm’s operational information and personal data. Key Responsibilities: Management, operation and development of control assurance. Management of ISMS assurance audits and resolution of issues arising from them, liaising with colleagues across the firm. Tracking and closure of internal audit and other issues. Identification and selection of tools and systems for efficient operation of the Information Risk function. Experience required: Clear understanding of the ISO27001 standard and compliance audit management rather than just experience of Annex A controls. The level sought is equivalent to the “ISO 27001 Lead auditor” qualification. Experience with other information security frameworks such as NIST Cybersecurity and AICPA SOC2 would be valuable. Analytical and organisational skills with the ability to work independently, and as part of a wider team, with minimal supervision. If you believe your experience meets the criteria, please apply with a copy of your CV. #J-18808-Ljbffr

  • Head of Investment Oversight & Portfolio Analytics Job details Location: Dublin Date Posted: 12 October 2023 Category: Job Type: Permanent Job ID: Competitive Description Our client, a high-performing Investment Management house, is looking for a senior candidate to head up their Investment Oversight & Portfolio Analytics team . Based at their offices in Dublin, the successful candidate will mentor the team whilst being responsible for the following duties: Oversight and monitoring of Investment process. Performance measurement & attribution analysis across a diverse range of portfolios including security, industry, asset class or total fund level within systems like Morningstar. Management of team members and relations with key stakeholders. Environmental, Social & Corporate Risk Analytics using a Portfolio Construction Tool to analyse the implications of various asset allocations and manager selections. The successful candidate will possess the following attributes: Bachelor’s degree within finance or a related discipline (CFA charter advantageous). 5 years’ experience within risk or portfolio management. Experience managing colleagues & ability to interact with stakeholders to ensure efficiency of business request deliverance. Experience with one of Bloomberg PORT, Style Research, Morningstar, MSCI or MYSIS Fusion Invest. A good understanding of a wide range of asset classes, as well as knowledge of regulatory requirements (UCITS, MIFID & Solvency II). Mason Blake acts as an employment agency for permanent recruitment and employment business for the supply of temporary workers. Mason Blake is an equal opportunities employer and welcomes applications regardless of sex, marital status, ethnic origin, sexual orientation, religious belief or age. Apply for this job #J-18808-Ljbffr

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