
The Portfolio Analysis & Valuation team at our client is seeking a new team member to focus on following up and risk modeling unlisted or alternative investments within the company's portfolio. This role will involve conducting due diligence, risk modeling, and valuation of assets such as alternative credit, real estate, infrastructure, and private equity. The successful candidate will work closely with the quantitative analysis & valuation, risk & return analysis, and business management functions to ensure accurate risk measurement and compliance with regulations.The ideal candidate for this position will have experience in portfolio analysis, valuation, and investment risk and return analysis. They will be responsible for actively contributing to the valuation work of our client's alternative investments, requiring a strong attention to detail and analytical skills. This role offers the opportunity to work with a team of experienced professionals in a dynamic environment focused on managing and optimizing the company's investment portfolio.