An international private Bank is seeking a Risk Manager Officer to join in Switzerland. This role is ideal for a professional with strong expertise in asset management and investment funds.
Key Responsibilities:
1. Maintain and continuously improve the already solid risk & control framework (including ICS, RCSA, Op Risk and BCM aspects).
2. Control and monitor risk profiles and regulatory requirements on fund management company level and on Swiss investment funds level as a second line of defence.
3. Provision of inputs / preparation of regular and ad-hoc risk reports (e.g. FX, liquidity-, market-, credit- and operational risks).
4. Support or lead internal projects, process management and/or fund product initiatives.
5. Carry out ad-hoc reviews and participate in risk management and fund related initiatives.
Candidate Requirements:
1. Higher education such as FH/university degree in business administration, economics or equivalent. CFA, FRM or equivalent financial degree or training in risk management are a plus.
2. 3+ years of working experience in the field of risk management in the financial industry.
3. Solution oriented with a pragmatic approach and readiness to work closely with colleagues and stakeholders, internally and externally.
4. Fluent in English and German. French is an add on.
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