Risk Specialist, Risk Management & Compliance at Copenhagen Infrastructure Partners PS
København, , Denmark -
Full Time


Start Date

Immediate

Expiry Date

05 Dec, 25

Salary

0.0

Posted On

06 Sep, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Good communication skills

Industry

Financial Services

Description

Do you want to join a global fund manager in energy infrastructure investments? If so, Copenhagen Infrastructure Partners (CIP) is currently looking for a Risk Specialist to join our Risk Management team based in Copenhagen.

YOU

We are looking for a motivated individual holding a relevant master’s degree and a minimum of 2-5 years of experience in a similar role within a financial institution, an alternative fund manager, consultancy firm or within the renewable energy sector.
You bring solid financial acumen and the ability to translate complex topics into clear, actionable insights. Your analytical capabilities support effective risk quantification, data quality assurance, and aggregation. Ideally, you have experience working with complex data environments and demonstrate proficiency in data analysis, enabling you to extract meaningful patterns and support informed decision-making.
You have a curious mind and want to understand the CIP business in detail. You have an eye for improvements and optimisations and are not afraid to speak up.

Responsibilities

ROLE

As Risk Specialist, you will contribute to shaping CIP’s risk management frameworks and methodologies, engage in deep-dive risk analyses, and help drive initiatives that enhance resilience and accountability across the business. You will ensure the completeness and quality of the risk profiles for CIP’s funds in close collaboration with all relevant parts of the CIP business line.
We value collaboration, curiosity, and integrity, and we offer a supportive environment where you can grow professionally while making a tangible impact on the organisation’s risk posture.

RESPONSIBILITIES WILL CONSIST OF BUT ARE NOT LIMITED TO:

  • Lead and execute risk assessments across CIP-managed funds, platforms and investments.
  • Preparation and improvement of the quarterly risk reports for management and the board of directors.
  • Data identification, quality assurance and analysis to improve the objective risk oversight.
  • Further develop CIPs scenario analysis and stress testing capabilities.
  • Maintain and improve the risk management framework, ensuring compliance with AIFM regulations and internal governance standards.
  • Support policy implementation, training and awareness programs to embed a strong risk culture across CIP.
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