Financial Control and Risk Analyst - Dublin based Hedge FundHigh performing and leading Hedge Fund based in Dublin is looking to attract a Financial Control and Risk Analyst to its growing Irish entity.The fund has an extensive >20 year track record and multiple billion AUM across a diversified strategy set.London is the fund's headquarters with a global reach, with additional offices in New York, Paris, Madrid, Munich, and Dubai.Reporting to the Head of Office, working in a fast-paced and nimble setup, the role will cover a broad set of duties across financial analysis and risk reporting for both the Irish entity and the fund's other non-UK entities.Duties will include but not be limited to:Monthly accounting, financial reporting, and regulatory filings.Risk management, reporting, and oversight of all risk activities.Managing general financial operations, including payments and ledger bookings.Supporting accounting and reporting for other European operations outside the UK.Partnering with key delegates and service providers.Maintaining risk registers for the company and the funds.Monitoring Key Risk Indicators and reporting on key risks.Reviewing and updating processes, policies, procedures, and frameworks.Implementing efficiencies, controls, and automation to current processes.Managing incident reports, root cause analysis, and control improvements.Supporting quarterly reporting to the SMC board.Financial reporting within the financial services industry.Wider management accounting and payment processes.Risk reporting and management.Implementing financial and risk controls.Interest in hedge fund strategies, investing, and fund structures.An accounting background in asset management, fund services, or financial services clients is preferred.Fund accountants seeking to transition into hedge funds with a focus on financial coverage and risk reporting are encouraged to apply.Seniority levelMid-Senior levelEmployment typeFull-timeJob functionAccounting/Auditing
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