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Junior Risk Manager

Business Department:  Portfolio Solutions

Singapore, SG

Partners Group is a global private markets investment manager, serving over 1,000 institutional investors. We have USD 131 billion in assets under management and more than 1,600 professionals across 20 offices worldwide. We realize potential in private markets by financing and developing great companies, desirable real estate and essential infrastructure. We create value in our investments through active and long-term responsible ownership.

What it's about

You will be a part of the Quantitative & Risk Management team, comprising 30 members across Switzerland, Denver, Singapore and Luxembourg.


Responsibilities include:

  • Monitoring product-level FX exposure and help manage the firm's ~USD 35 billion hedging program

  • Liaising with deal teams and portfolio managers to fund the firm's investment pipeline, aligning deal flow and client demand

  • Conducting research and market analysis for submissions to the firm's Global Portfolio Committee

  • Engaging on new projects to drive operational efficiency and expand the scope of the team's analysis

What we expect
  • Bachelors degree with an emphasis on Finance, Mathematics, Physics or a similar quantitative degree. Masters degree (pre-MBA) are welcome to apply. 1-2 years experience preferred.

  • A keen interest in international financial markets and market mechanisms

  • Strong quality excellence and ability to work error-free

  • A team player with strong communication skills

  • Experience in development (e.g. Python, SQL) is considered an advantage

What we offer

  • Learn the business from some of the world's leading private markets experts

  • Challenging career path, intensive learning experience

  • International environment

  • Competitive salary with performance-oriented compensation models

  • Long-term career perspectives

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