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