Financial Control and Risk Analyst - Dublin based Hedge Fund
A highly skilled Financial Control and Risk Analyst is required by a leading Hedge Fund in Dublin to provide expert financial analysis and risk management services.
The fund boasts an impressive 20+ year track record with over $billions in Assets Under Management (AUM) across multiple diversified strategies.
Headquartered in London, the fund has a global presence with additional offices in New York, Paris, Madrid, Munich, and Dubai.
Reporting to the Head of Office, this role will cover a broad range of duties across financial analysis, risk reporting, and operations for the Irish entity and other non-UK entities.
Main responsibilities include:
* Monthly accounting, financial reporting, and regulatory filings for the Irish entity and other European operations.
* Risk management, reporting, and oversight of all risk activities to ensure compliance and minimization of risks.
* Managing general financial operations, including payments, ledger bookings, and account reconciliations.
* Supporting accounting and reporting for other European operations outside the UK, working closely with key delegates and service providers.
* Maintaining accurate and up-to-date risk registers for the company and the funds.
* Monitoring Key Risk Indicators (KRIs) and reporting on key risks to senior management and stakeholders.
* Reviewing and updating processes, policies, procedures, and frameworks to ensure efficiency and effectiveness.
* Implementing process improvements, automation, and control enhancements to current processes.
* Managing incident reports, root cause analysis, and control improvements to minimize risk and maximize efficiency.
* Supporting quarterly reporting to the Senior Management Committee (SMC) board and other key stakeholders.
* Providing expert financial reporting and management accounting services within the financial services industry.