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Private Markets Risk Manager

Remote, USA Full-time Posted 2026-03-27
Job Description: • Lead and develop a global team of private markets risk and data analytics professionals, setting high analytical standards, review standards, and best practices. • Own the processing of large volumes of data to identify trends in performance; empowering investment recommendations, client reporting, and market-wide analysis. • Design, evolve and refine risk and analytics models and frameworks in partnership with asset class research teams, including anomaly detections, scenario analysis and stress testing. • Partner with Aksia’s clients to understand and address their risk and analytics needs. • Monitor areas of potential risk for Aksia’s products, including diversification testing, investment guidelines, and underperforming investments. • Engage with GPs to enhance data quality and coverage. • Collaborate with Technology and Data teams to further develop Aksia’s internal databases and analytics platforms on improved usage of collected data. Requirements: • 5-8 years in a data, analytics, reporting, or risk leadership role. Preference for those with exposure to private markets (private equity, private credit, real assets, or multi-asset alternatives) • Demonstrated track record building or leading a central reporting or data analytics function. • Proven experience leading and developing high-performing analytical or data teams. • Hands-on familiarity with private markets data structures. • Strong command of performance measurement and analytics for private markets (IRR, TVPI, DPI, PME, attribution frameworks, benchmark construction). • Ability to balance and prioritize needs across investments, operations, risk, and distribution. • High standards for accuracy, controls, and documentation, with a pragmatic approach to delivering iterative improvements. Benefits: • Regular interaction with global colleagues and clients • Opportunities for professional development Apply tot his job Apply To this Job

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