Director of Portfolio Monitoring and Risk

Aksia

$150K — $200K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • 7-10 years in private markets with experience in portfolio management or risk leadership, preferably in private credit.
  • Track record of building or leading a central reporting and analytics function.
  • Experience in managing and developing high-performing cross-functional teams.
  • Familiarity with private markets data structures and fund mechanics.
  • Knowledge of private markets performance metrics (IRR, TVPI, DPI, PME) and analytics frameworks.
  • Ability to prioritize diverse needs across operational and investment functions.
  • High accuracy standards and a strong documentation focus.

Responsibilities

  • Lead a global team of professionals in portfolio monitoring and risk management.
  • Design and refine risk and analytics models with asset class research teams.
  • Create frameworks for portfolio planning and strategic allocation decisions.
  • Manage onboarding processes for new clients and mandates, ensuring operational readiness.
  • Monitor risk areas like diversification, liquidity, and underperformance.
  • Handle non-investment portfolio aspects including banking and liquidity management.
  • Collaborate with clients to address their monitoring and risk analytics needs.

Benefits

  • Flexible location options with a preference for New York or Chicago.
  • Opportunity for regular interaction with global colleagues and clients.
  • Leadership role in a newly expanded function, influencing best practices across the firm.
Full Job Description
Position Overview

Aksia is seeking an individual to lead a newly expanded Portfolio Monitoring and Risk function. This role will combine existing risk and data capabilities with a broader portfolio implementation and monitoring mandate spanning client portfolios, investment execution, and ongoing portfolio oversight. The successful candidate will lead cross-functional teams supporting the development of private fund vehicles, direct/co-investment strategies, and broader client mandates across private credit, private equity and real assets.

This position is ideally based in Aksia's New York or Chicago office, but could be based elsewhere, and will include regular interaction with global colleagues and clients, including managing a global team.

Responsibilities:
    • Lead and develop a global team of portfolio monitoring, risk, and data professionals, setting high analytical standards and firm-wide best practices.
    • Design, evolve, and refine portfolio risk and analytics models and frameworks in partnership with asset class research teams.
    • Develop and maintain portfolio planning and construction frameworks to support strategic and tactical allocation decisions.
    • Oversee onboarding of new clients, funds, and mandates, including portfolio setup and operational readiness.
    • Monitor areas of potential risk including diversification testing, guidelines, liquidity, underperforming investments, and exceptions.
    • Manage non-investment aspects of portfolios including banking relationships, lines of credit, cash/liquidity, and FX coordination.
    • Partner with clients to understand and address portfolio monitoring, implementation, and risk analytics needs.

Qualifications:
  • 7-10 years of experience across private markets in a portfolio management, implementation, data, or risk leadership role. Private credit experience strongly preferred.
  • Demonstrated track record building or leading a central reporting, portfolio management, implementation, or analytics function.
  • Proven experience leading and developing high-performing cross-functional teams.
  • Hands-on familiarity with private markets data structures, fund mechanics, and portfolio allocation processes.
  • 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, legal, finance, and distribution.
  • High standards for accuracy, controls, and documentation, with a pragmatic approach to delivering iterative improvements

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