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Homeโ€บCompaniesโ€บMichael Pageโ€บAVP - Risk Management - Private Markets
MP

AVP - Risk Management - Private Markets

MICHAEL PAGE ACTIVELY HIRING
๐Ÿ“LOCATIONMumbai City
๐Ÿ“ˆEXPERIENCE4 to 8 Yrs
๐Ÿ•˜TYPEFull time
๐ŸฅIndustryBFSI
๐Ÿ—“POSTED24 Aug 2026

01Overview

Opportunity to work in a global alternatives investment management firmOpportunity to directly influence business outcomes & risk strategy About Our Client A renowned global alternatives investment platform with a diversified portfolio across private markets and credit strategies. The firm offers exposure to international stakeholders, cross-border transactions, and collaboration with investment, finance, treasury, investor relations, and risk teams across regions. The environment is lean, high-impact, and provides significant visibility to senior leadership. Job Description Support investment risk analysis in PE and RE transactions across geographies, through an in-depth analysis of the relevant macro, sector, industry and asset level factors;Assist in portfolio risk assessments by gathering and analysing relevant macroeconomic, industry, sector and peer data across selected investments and asset classes;Maintain and update performance and risk metrics for investment portfolios on a timely manner and ensure risk dashboards are accurate and up-to-date;Enhance liquidity & FX risk management of the firm by liaising with Treasury and business units;Work closely with other departments such as Finance and Investor Relations on balance sheet analysis, due diligence queries and other ongoing or ad-hoc analysis;Maintain ongoing market intelligence related to the portfolio, as well as risk management strategies and systems;Support periodic internal controls and governance reporting where relevant to Risk Management, including tracking key risk indicators, remediation actions and reporting inputs for senior management;Prepare internal controls reports for ALCO and senior management - including heat maps, KRI dashboards, and remediation status. Contribute to report disclosures on risk management, internal controls and governance. The Successful Applicant Minimun 4 years of risk management related to Private Markets is a must haveExperience in an asset management or a financial institution, with exposure to one or more relevant asset classes preferred;Sound knowledge of financial modelling, core financial concepts and valuation methodologies;Strong analytical and presentations skills incorporating qualitative and quantitative analysis using MS products;High level of focus on work quality and attention to detail and an ability to balance and prioritize projects;Strong communication skills and ability to communicate risk concepts and analytics in a clear manner;Interest in economics, financial markets and ability to correlate market events with a potential impactGlobal mindset with the ability to collaborate and work with teams across different geographies;Knowledge and experience in AI and data analytics, data mining and/or ability to work with large data sets.Knowledge of data visualization tools (Power BI) would be a significant plus. What's on Offer Opportunity to directly work with the Head of Risk ManagementMarket leading compensation and benefitsGain exposure to diverse work culture Build your career in a firm which is a marquee name, well0established and has high growth culture along with work life balanceThe firm offers a hybrid work model of three times a week in office .

02What you'll need

Experience
4 to 8 Yrs
Employment Type
Full time
Programming languages
risk managementinvestment analysisfinancial modelingfinancial marketsdata analyticsdata visualizationcommunication skillsvaluation methodologies

03About MICHAEL PAGE

BFSIIndustry
Full timeEmployment Type
Mumbai CityLocation
Not Disclosed ยท salary hidden by employer
4 to 8 Yrs ยท Mumbai City
Applications are reviewed directly by the hiring team.
Role Snapshot
Work ModeNot specified
Visa SponsorshipNot specified
RelocationNot specified
Job TypeFull time
Hiring StatusACTIVELY HIRING
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