This role sits within Financial and Sustainability Risk and supports the Group’s oversight of investment risks across both public market and alternative assets, with a primary focus on alternatives asset classes including private equity, private credit, infrastructure, real estate, and other illiquid strategies. The role provides independent second-line risk oversight and works closely with the first-line investment teams and LBU second-line teams to ensure robust risk identification, monitoring, review, governance, and escalation, supporting sound investment decision-making, portfolio resilience, and compliance with internal policies and regulatory expectations.