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:
Maintain and continuously improve the already solid risk & control framework (including ICS, RCSA, Op Risk and BCM aspects)
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.
Provision of inputs / preparation of regular and ad-hoc risk reports (e.g. FX, liquidity-, market-, credit- and operational risks).
Support or lead internal projects, process management and/or fund product initiatives.
Carry out ad-hoc reviews and participate in risk management and fund related initiatives.
Candidate Requirements:
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.
3+ years of working experience in the field of risk management in the financial industry.
Solution oriented with a pragmatic approach and readiness to work closely with colleagues and stakeholders, internally and externally.
Fluent in English and German. French is an add on.