About this role
As a Financial Risk Manager, you ensure that KBC Asset Management’s investment products and services are supported by robust and reliable risk management. You combine quantitative analysis with financial insight. You calculate and analyse risks, validate models, and translate complex results into clear conclusions and recommendations. In addition, you support the development of new investment products and contribute to projects related to technology, regulation, and process improvement. You will be part of an international team with colleagues in Brussels, Dublin, and Prague. Together, you ensure that risks are properly measured, monitored, and managed throughout the entire lifecycle of investment products.