Valuations Manager: Private Credit
Funds Talent Luxembourg, Luxembourg (Hybrid)
Overview
A fast growing alternative investment platform is hiring a Valuations Manager to lead the end-to-end valuation process across a diverse private credit portfolio. This is a senior, high-visibility role sitting at the intersection of investment, risk, finance and fund operations with direct involvement in governance, committee processes and the ongoing build-out of the platform's valuation framework.
What's in it for you
- A genuine leadership position within valuations you own the process, the output and the stakeholder relationships
- Direct access to portfolio managers, risk, finance and senior leadership across the platform
- The chance to build and improve a valuation framework rather than just operate one, the platform is scaling and the infrastructure is evolving with it
- Private credit is one of the fastest-growing asset classes in alternatives, this puts you at the centre of it within a serious, well-capitalised business
Key Responsibilities
- Lead the end-to-end valuation process across private credit portfolios, from initial analysis through to committee-ready reporting
- Conduct independent valuation analysis, assessing borrower performance, credit fundamentals and market developments
- Review and challenge valuation methodologies, assumptions and supporting documentation across the book
- Prepare valuation reports, memoranda and management information for internal committees and stakeholders
- Support valuation governance, committee processes and regulatory compliance
- Liaise with portfolio managers, finance teams, auditors, fund administrators and external valuation providers
- Drive enhancements to valuation models, controls and reporting infrastructure as the platform grows
What we're looking for
- 8+ years in valuations, private credit, leveraged finance, transaction services or alternative investments
- Strong command of debt valuation methodologies, fair value principles and IFRS 13
- Excellent financial modelling skills. You're comfortable building and stress-testing models, not just reviewing them
- Experience within an AIFM, alternative asset manager, advisory firm or private markets platform
- Someone who can hold their own with portfolio managers and auditors alike; strong stakeholder management is essential
- Fluent English; French or German is a plus
If you meet the key requirements listed above, please apply now by submitting your resume or sending your application directly to Thomas@fundstalent.com