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Risk & Fund Reporting Manager

Moonfare
Luxembourg, Luxembourgfull_timePosted 17 Jun 2026

About the role

<p><strong>Join the team rewriting the rules in private markets.</strong></p> <p>Moonfare delivers what few others can: the highly sought-after funds and hidden-gem investments that go beyond what most private banks offer. Every opportunity is subjected to a ruthless vetting process; the bar is unforgivingly high. The result? Institutional-quality portfolios for investors who demand more.</p> <p>Our team combines finance veterans with talent from tech, consulting, law and industries you'd never expect. Headquartered in Berlin, we operate from eight offices across Europe, the US and Asia.</p> <p>If you're ready to build what's next in private markets, let's talk.</p> <p><strong>Risk & Fund Reporting Manager</strong></p> <p>As Risk & Fund Reporting Manager, you will own the Risk Management function of Moonfare's sub-threshold AIFM in Luxembourg, the technical oversight of our Fund Administrator, and the end-to-end production of regulatory and fund reporting. Reporting directly to the Managing Director Luxembourg and partnering closely with the Portfolio Manager, the Moonfare Investment Team, and the Fund Operations Services team, this is an individual contributor role with control function authority.</p> <p>You will be the technical owner of fund data integrity across the Moonfare range, independently verifying the work of our Fund Administrator and ensuring the AIFM retains full ownership of what it ultimately reports.</p> <p>Your mandate spans three distinct but connected disciplines: <strong>Risk Management, Fund Reporting & Audit Leadership, and Third-Party Oversight & SME Leadership</strong>. We are looking for a Risk & Fund Reporting Manager who treats data integrity and risk discipline as the foundation that lets Moonfare scale, not as bottlenecks, and who is willing to push back on delegates and internal teams when the numbers don't add up.</p> <p><strong>You Will:</strong></p> <ul> <li><strong>Risk Management</strong> <ul> <li>Own the Risk Management function of the AIFM: identify, measure, monitor, and manage all material risks across the fund range, covering market, liquidity, counterparty, operational, concentration, leverage, and ESG/SFDR; maintain the Risk Management Policy, risk limits, and risk register</li> <li>Monitor overcommitment ratios as a liquidity risk exposure against the limits set by the Investment Committee, conduct periodic stress tests including call coverage scenarios, escalate breaches to the Board, and act as the AIFM's technical risk voice in board deliberations, working in close coordination with the Portfolio Manager</li> <li>Provide regular risk reporting to the Managing Director and Board, with clear escalation of breaches and emer

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Company

Moonfare

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