The Investment Risk Management Analyst plays a key role in safeguarding the integrity of investment-related
financial flows and supporting robust operational risk control. While
not directly involved in market or portfolio risk modelling, this position ensures accuracy, timeliness, and
compliance in the processing of critical investment-related payments, including management fees, trailer
fees, and service charges—across multiple fund structures. By overseeing end-to-end financial workflows,
validating fee calculations, and contributing to financial reporting and governance activities, the role actively
mitigates financial, reputational, and regulatory risks associated with miscalculations or delays. Working
closely with fund operations, compliance, finance, and external service providers.
standards.