Join Portfolio Solutions at Partners Group as a Senior Risk Manager to shape how the company measures, monitors, and acts on market and portfolio risk, turning complex data into clear, decision-ready insights.
Requirements
- Advanced degree in Quantitative Finance, Engineering, Mathematics or a related field
- 8+ years of experience in risk management within public or private markets
- Demonstrated ability to explain risk concepts in a practical, business-oriented way
- Proven ability to generate original ideas and develop new models or processes
- Deep interest in quantitative analysis and strong affinity for working with numbers
- Curiosity about international financial markets and industry mechanisms
- Collaborative working style with demonstrated ability to influence across teams and levels, including senior stakeholders
- Prior experience in computer programming (Python / SQL) and Excel is considered an advantage
- Excellent written and verbal communication skills in English
Benefits
- Competitive compensation with performance-based bonuses and daily lunch allowance
- Global professional environment with international exposure, collaborative culture, and opportunities to learn the business from industry leaders and seasoned professionals
- Comprehensive career development through challenging opportunities, hands-on training, dedicated mentorship programs, and our PG Academy learning platform for continuous growth
- Sabbatical program - one month off after every five years of service to recharge and explore
- Premium facilities including state-of-the-art building, diverse on-site dining options, and complimentary gym access with fitness classes
- Community engagement through office events, team activities, and volunteer opportunities to connect with local communities