Norfin is a leading Real Estate Investment Manager founded in 1999 and with over €1.5bn of assets under management in funds, SICAFIs or SPVs, with a high diversity of profiles and strategies across all real estate and real estate connected sectors for a wide range of institutional investors. In 2018, Norfin was acquired by Arrow Global, a pan-European alternative asset manager focusing on credit and real estate, with over €5.3bn of funds under management. Arrow Global was incorporated in 2005 and has recently been acquired by TDR Capital, a European private equity firm. Further information available at and Our success is built by the junction of our high-performance, talented, innovative team with our corporate culture of excellence, meritocracy and cooperation in order to fulfil our mission: "Create Better Financial Futures". We recognize the importance of having both the best individuals and providing them with the means and the motivation to excel and to jointly build a team stronger than the sum of its parts.
Due to the company's continual growth and forthcoming capital deployment stream, Norfin intends to select: Risk Associate Main tasks and responsibilities Planning, designing and implementing an overall risk management process for the organisation, including establishing and quantifying the organisation's 'risk appetite', i.e. the level of risk it will accept; Developing and implementing risk management plans to mitigate identified threats and ensure compliance with regulatory and security standards; Developing and implementing business continuity plans to ensure the organisation's resilience to potential disruptions and emergencies; Collaborate with management teams to integrate risk management across all operational areas; Reporting risks appropriately to different audiences, for example to the board of directors so they understand the most significant risks and to business leaders to ensure they are aware of the risks relevant to their activities; Conducting regular risk assessments and analysing security and incident trends to identify potential vulnerabilities and implement remedial measures; Providing support, education and training to employees to build risk awareness within the organisation; Keep up to date with best practices and legal and regulatory requirements related to the Management Company activities and the services it provides; Prepare risk analysis reports and recommend corrective and preventive measures to Risk Committees, Executive Committees and others. Role Requirements Degree in Management, Economics, Auditing or Finance; Previous Experience: Previous experience or internship in the Banking sector, Real Estate Investment Fund Management Companies is valued; Ability to identify, analyse and implement new requirements applicable to the Management Company and services provided; Analytical Skills: Ability to analyse complex data and identify patterns or anomalies; Attention to Detail: Strong attention to detail and accuracy in analyses; Effective Communication: Excellent written and verbal communication skills; Perseverance to maintain a positive attitude towards routine tasks; Teamwork: Ability to collaborate effectively with different teams and departments; Incisive presentation skills (written and oral); Advanced knowledge of Microsoft Office (Word, Excel, PowerPoint, Visio); English: good proficiency level (reading, speaking and writing). Local and Schedule Full-Time / Lisboa