Location
Luxembourg - 31 Avenue MontereyBrookfield Culture
Brookfield has a unique and dynamic culture. We seek team members who have a long-term focus and whose values align with our Attributes of a Brookfield Leader: Entrepreneurial, Collaborative and Disciplined. Brookfield is committed to the development of our people through challenging work assignments and exposure to diverse businesses.
Job Description
LFE European Asset Management Sarl (LFE) is a joint venture between Brookfield Asset Management and Oaktree Capital Management and is a regulated entity supervised by the Luxembourg Commission de Surveillance du Secteur Financier (CSSF) which manages alternative investment funds (AIFs) pursuing PE, Real Estate, Credit, Infrastructure and Transition, amongst other strategies. Our role is to provide independent governance and oversight to Oaktree and Brookfield’s AIFs, with rigorous risk controls, working in internal partnership with the group entities to support growth in Europe.
LFE is looking to strengthen its team and hire an experienced Conducting Officer in charge of Risk Management, IT and ESG. This position will report to the Senior Management (Head Office and the Board of Managers of the Management Company).
Scope and Responsibilities
Risk Management
Act as Conducting Officer in charge of Risk Management in line with CSSF regulations.
Ownership of, definition and review of the risk management procedures (RMPs) and risk management policy for all funds under management;
Design, implement and maintain the risk management framework, policies and procedures covering all relevant risk categories (market, credit, liquidity, operational, counterparty, ESG, etc.).
Oversee risk monitoring processes for all funds under management and ensure alignment with regulatory requirements and internal risk appetite.
Ownership of, definition and review of the risk management procedures (RMPs) and risk management policy for all funds under management;
Support onboarding new funds and investments from a risk perspective.
Review the investment proposals, portfolio exposures and risk limits, balancing regulatory compliance with business needs.
Collaborate with Group functions (risk, compliance, operations, investments) to ensure consistency in standards, methodologies and reporting.
Report regularly to the Board of Directors, senior management and regulators on risk matters, breaches and mitigation measures.
Communicate risk topics clearly to both technical and non-technical stakeholders.
Contribute to governance by participating in internal committees.
Maintain dialogue with CSSF and external auditors as required.
Respond to internal queries supporting investor requests, reporting and decision-making.
Keep abreast of regulatory and industry developments, ensuring timely updates to the risk management framework
IT
Oversee the IT governance framework, with a focus on outsourced IT service providers under CSSF Circular 22/806 and DORA
Maintain oversight of critical and important IT outsourcing arrangements, including risk assessments, contractual safeguards and exit strategies
Review IT provider reporting (SLAs, KPIs, incidents, cybersecurity metrics, testing results)
Ensure implementation and regular testing of Business Continuity and Disaster Recovery Plans
Act as escalation point for material IT incidents and coordinate regulatory reporting where required
Contribute to Board reporting and governance on IT risk matter
ESG
Lead the SFDR Reporting to achieve high performance and maintain strong engagement.
Allocate tasks, set priorities, and monitor progress to ensure deadlines and quality standards are consistently met.
Promote a collaborative, solutions-oriented work environment.
Ensure timely and accurate delivery of all SFDR regulatory disclosures, including:
Pre-contractual disclosures
Website disclosures
Periodic disclosures
CSSF data collection
Implement and maintain quality controls, ensuring discrepancies are identified and resolved promptly.
Keep abreast of regulatory developments and assess their operational impact.
Requirements
Min 8 years work experience including proven 5-8 years of experience in risk management, investment compliance, IT & ESG functions
Excellent knowledge of the Luxembourg UCITS and AIFM legal & regulatory framework, in particular with regard to the risk management, IT & ESG requirements
University/ Master degree in Economics, Finance or Science
Experience with AIFS in a variety of relevant industries;
Good knowledge in finance / investment funds industry in the context of AIFMD and UCITS Directive
Excellent numerical and analytical skills, knowledge on valuation of derivatives
Ability to bring new ideas in terms of fund structuring, investment strategy and investment processes from a risk perspective
Pragmatic and solution-oriented mindset
Personal Attributes
Excellent written and oral communication skills in English
Commercial and solution orientated
Candidate should be proactive and self-driven
Outstanding organizational skills with strong attention-to-detail
Team-oriented with strong integrity and professionalism
Ability to work well under pressure and with time constraints
Ability to multi-task and execute a wide range of assignments, highly organized, strong time management skills, and attention to detail
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Brookfield is committed to maintaining a Positive Work Environment that is safe and respectful; our shared success depends on it. Accordingly, we do not tolerate workplace discrimination, violence or harassment.
We are proud to create a diverse environment and are proud to be an equal opportunity employer. We are grateful for your interest in this position, however, only candidates selected for pre-screening will be contacted.