Location
London
Hours
Full Time
Salary
Competitive salary package
About the Role
As one of the world's leading independent global investment firms, Invesco is dedicated to rethinking possibilities for our clients by delivering the combined power of our distinctive investment management capabilities. We provide a wide range of investment strategies and vehicles globally. If you seek challenging work, intelligent colleagues, and exposure across a global footprint, explore your potential at Invesco.
In this role, you will support Invesco's risk management capabilities by providing transparency to senior leadership on all investment-related risks for Private Credit portfolios, including CLO, Broadly Syndicated Loans, Direct Lending, Special Situations/Distressed, and others. You will play a key role in developing and implementing best practices to ensure effective management of market, counterparty, and liquidity risk on behalf of Invesco's clients.
Key responsibilities include working with senior leadership to formulate investment risk strategy aligned with Invesco's mission, facilitating investment performance through value-added insights, driving strategic projects related to technology, data, and human capital, advancing data analytics capabilities, identifying key risk exposures, maintaining active dialogue with investment teams, preparing board updates, refining risk capabilities beyond benchmarking, leading risk limit reviews, ensuring compliance with legal and regulatory requirements, anticipating emerging risks, and guiding risk governance policies and procedures.
Invesco offers an outstanding benefits package including company-provided healthcare, competitive annual leave allowance, flexible working options including hybrid arrangements, generous pension provisions, income protection, health and wellness benefits, volunteering days, enhanced parental leave, and life insurance.
Our workplace policy requires employees to spend at least four full days each week working in the advertised office starting October 1, 2025, reflecting our belief in the value of in-person collaboration and growth.
Experience
Proven experience in relevant financial markets such as Asset Management, Hedge Funds, or Investment Banking. Experience with financial or risk modeling, data analysis of large data sets, dashboard/visualization creation, leveraged loan markets, and/or credit analysis is essential. Demonstrated ability to build and foster a wide range of stakeholder relationships and needs.
About you
Collaborative and motivated by working closely with colleagues as part of an Investment Risk team. Strong communication skills to facilitate dialogue between investment teams and senior leadership. Proactive in anticipating new and emerging risks and providing insights to position portfolios successfully across diverse market conditions.
Qualifications
Bachelor's Degree in a relevant financial field such as Finance, Business, Risk Management, or Financial Engineering is preferred. Professional designations such as CFA, CAIA, or FRM are a plus.
Invesco EMEA






