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Job description
A Risk Manager role at DWS focusing on contributing risk management expertise for institutional clients. The position involves representing the Investment Risk team in client meetings, developing risk reports, and enhancing risk governance frameworks with a strong emphasis on understanding investment strategies and risk profiles.
Primary responsibilities include representing the Investment Risk team in client meetings, contributing to high-quality risk reports and presentations, providing inputs for product classification and risk profiling for new and existing mandates, and proactively developing risk management governance frameworks.
The ideal candidate should have an advanced degree in Finance, Mathematics, Statistics, or Economics, with proven experience in asset management, preferably in Risk Management, Product Management, or Portfolio Management. Strong knowledge of investment strategies for liquid asset classes, cash and derivative instruments, and related risk sources is essential.
DWS offers a competitive benefits package including physical and mental health benefits, family-friendly policies, pension plans, corporate social responsibility opportunities, mobility benefits, and a supportive hybrid working environment that balances office collaboration and flexibility.