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Alessandro Cameroni

Alessandro has over 30 years of experience in debt markets, with a strong focus on financial, sovereign, corporate and high yield bonds. After 7 years spent in proprietary trading for a leading Italian bank and another 3 years in portfolio management for an institutional client, Alessandro has now been working for 20 years in the investment fund management industry.
His main expertise lies in understanding and managing the latest corporate subordinated and hybrid bonds.

Cameroni_ridotta

Funds

Lemanik European Flexible Bond

Lemanik Selected Bond

Lemanik European Flexible Bond

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Lemanik Selected Bond

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Insights

Lemanik webinar with Alessandro Cameroni

Tassi e subordinati finanziari Quali prospettive Lemanik webinar | Alessandro Cameroni | Wednesday...

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Lemanik webinar with Maurizio Novelli, Senior Portfolio Manager

Economia (ir)reale e bolle finanziarie Lemanik webinar | Maurizio Novelli & Fabrizio Biondo |...

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Salone del risparmio 2024
Lemanik at the new edition of Salone del Risparmio 2022 | May 10-12

“Looking for new balances Investing in global scenarios” is the theme at the heart of...

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USA already in balance sheet recession?

Read the view of our fund manager Maurizio Novelli published on “Investire nei...

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The Bank of Japan will intervene in the market to support the yen.

The Yen has fallen to lows since 1970 against the US dollar Currency risks and poor liquidity in...

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The ECB’s interest rate cut will favour the Italian mid-small cap.

“We are slightly more constructive in the light of the signs of stabilisation of macro...

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Lemanik connect

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Chef

We are looking for a Senior Fund Risk Officer to join the AIFs Team.
Your mission will consist in being in charge of managing the Risk Management framework of several AIFs clients.

Your role

  • Assist the AIFs team in the implementation of the Risk Management Framework
  • Production of periodical reports
  • Perform risk assessment for existing and new AIFs, determination of risk profile, risk limits (market, credit, liquidity, counterparty, operational) at fund and investments level
  • Monitor the AIFs in DOMOS (AIFs control and reporting tool) and ensure data accuracy
  • Support the Head of Risk in various Risk Management topics
  • Review the existing risk framework (regulatory and internal requirements) in close cooperation with other departments
  • Monitor the liquidity of AIFs and perform stress tests
  • Provide regular updates to the Head of Risk and the governing body
  • Ensure that the general investment policy, the investment strategies and the risk limits of each AIF are properly implemented and complied with 

Skills required

  • Master’s degree in Engineering, Finance, Mathematics or related fields.
  • Have minimum 2 years of relevant risk senior position in the illiquid strategies
  • Have good knowledge and understanding of the Luxembourg fund industry and AIFM regulations
  • Have strong knowledge on various strategies (Real Estate, Private Equity, Private Debt…)
  • Ability to work autonomously and demonstrate initiative
  • Fluent in English any other language will be an asset

 

recruitment@lemanik.lu
+39 380 234 1234