ORIOR Management AG
LANCRY Natural Capital Advisory AG
Quantitative Analytics & Risk
Descrizione del posto
Rejoignez LANCRY Natural Capital, une plateforme d'investissement innovante. Bénéficiez d'une opportunité unique dans un environnement engage.
Tâches
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Conduire l'agenda d'analytique quantitative de LANCRY.
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Développer des modèles pour les investissements en capital naturel.
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Gérer le risque d'investissement et rapporter les résultats.
Compétences
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Master en discipline quantitative, expérience en investissement naturel.
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Excellentes compétences quantitatives et modèles décisionnels.
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Capacité à travailler dans des environnements multiculturels.
About LANCRY Natural Capital
LANCRY Natural Capital is an investment advisory platform dedicated to building resilient and regenerative agricultural value chains. We partner with institutional investors, local operators, and corporate offtakers to deploy long-term capital to build thriving agribusinesses that generate both financial returns and measurable impact across climate, nature, and communities.
Our team consists of entrepreneurs from both the financial and agri-food industries, with founders bringing over 25 years of parcours professionnel. We are a diverse group with extensive expertise in natural capital, asset management, fundraising, and agricultural operations. Joining LANCRY offers a unique opportunity to enter a transformative company at the ground floor.
Position Overview
Drive LANCRY’s quantitative analytics agenda and support the continued build-out of the firm’s investment risk capability, with increasing responsibility over time. The role combines due diligence, transaction underwriting analytics, portfolio construction, and risk governance for private capital investments in natural capital. You will develop and set standards for scalable models and decision infrastructure that strengthen capital allocation, deal structuring, and risk oversight, ensuring decisions are robust, repeatable, and aligned with institutional governance standards.
Key Responsibilities
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Portfolio & transaction modelling:
Design and enhance portfolio construction and transaction underwriting models tailored to private capital investments in natural capital, including scenario analysis, stress testing, and downside resilience.
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Investment risk management:
Develop and implement the investment risk framework and recurring risk reporting, including market, liquidity, FX and climate/nature risks, among others, ensuring consistent oversight across portfolios and transactions.
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Decision support for strategies & asset advisory:
Lead the quantitative workstream with the Heads of Strategies and the Head of Investment Advisory to evaluate opportunities, inform structuring decisions, and deliver decision-ready analytics on risk/return, sensitivities, and capital allocation implications.
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Client-facing contribution:
Contribute to investor engagement by presenting portfolio rationale, risk governance, and analytical results in a clear, institutional-quality manner.
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Research & innovation:
Lead cross-asset and climate/nature-related research and translate insights into investable frameworks, product structuring, and scalable analytics.
Profile & Qualifications
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Master’s degree in a quantitative discipline; PhD is a strong plus, with research at the intersection of finance and natural capital or climate and nature.
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Several years of background in nature-based or natural capital investing, with responsibility for quantitative research, portfolio analytics, transaction support, and risk management in private markets or institutional settings.
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Excellent quantitative skills, ideally supported by a degree in mathematics or quantitative finance, with the ability to build transparent, decision-grade models suitable for senior stakeholders.
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CFA and FRM are advantages.
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Strong understanding of private-market portfolio construction and investment risk measurement; delivers decision-ready recommendations.
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Practical application of quantitative and qualitative risk management, integrating climate/nature scientific inputs into underwriting and risk frameworks across portfolios and transactions.
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Effective in international, cross-cultural environments; collaborates well with a team of stakeholders with diverse background.
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Entrepreneurial mindset with high ownership, strong judgment, and exceptional attention to detail.
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High work ethic and willingness to support across priorities in a fast-moving startup environment.
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Strong communication skills in English; additional languages are a plus.
Postulez des maintenant pour ce poste de Quantitative Analytics & Risk a Zürich.
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