Risk & Compliance Officer (ca. 20%)

Stadt Zürich – Entsorgung + Recycling Zürich

Zürich

Vor Ort

CHF 120.000 - 150.000

Vollzeit

14 Tage+

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Zusammenfassung

A financial investment firm in Zurich is seeking a dedicated Risk & Compliance Officer to manage risk management and compliance within a regulatory framework. The ideal candidate will have 8-10 years of experience, preferably in international asset management. This role requires strong analytical and communication skills, along with a passion for sustainability and impact. The successful applicant will interact with various stakeholders and oversee key compliance processes.

Qualifikationen

  • 8-10 years of relevant professional experience, ideally in asset management.
  • 3-5 years in a comparable position in private equity.
  • High reliability and integrity.

Aufgaben

  • Manage risk and compliance within the FINMA regulatory framework.
  • Prepare data and reports for the annual regulatory audit.
  • Update the control system and corporate directives.
  • Conduct KYC processes and risk analysis.

Kenntnisse

Risk management
Compliance acumen
Analytical skills
Communication skills
Attention to detail
Problem-solving
Interpersonal skills

Ausbildung

University degree or equivalent

Tools

Microsoft Office

Jobbeschreibung

Job Location

EBG Investment Solutions AG, Zurich, Switzerland

Job Description

Energized by impact and private market investments? Join our dedicated international team
in a senior role as Risk & Compliance Officer. The successful candidate, who may also be a
career returner, will have strong risk management & compliance acumen, good
communication skills, adaptability, and accountability. This senior role offers the perfect
blend of access to international private markets and the opportunity to be a member of a
team that drives meaningful change through investments with a strong focus on sustainability
and impact.

Responsibilities
  • Risk management and compliance at corporate level within the FINMA regulatory framework, collaborating with external deputy head Risk & Compliance, regulatory auditor and foreign AIFM business partners and service providers.
  • Preparation of data and reports in view of the annual regulatory audit in line with FINMA’s specifications.
  • Ongoing updating of the control system and of the corporate directives
  • KYC processes and risk analysis for new clients and business partners.
  • Member of the Investment Committee (veto right).
Qualifications

We are looking for a strong personality who is motivated, organized and capable of working
in a dynamic environment. To fit into our team, you will have strong analytical skills, pay great
attention to detail and be able to work independently. Passion for sustainability and impact
matters is a plus.

  • A university degree or equivalent with at least 8-10 years relevant professional experience, of which 3-5 years ideally in a comparable position in international asset management, preferably Alternative Investments / Private Equity.
  • Strong analytical and conceptual skills with problem-solving abilities and broad-based operational experience.
  • A constructive, diligent and well-structured approach to work and high reliability, excellent interpersonal skills and highest integrity.
  • Practical, proactive, flexible and delivery-focused team player who is comfortable working in a fast-paced international environment.
  • Excellent written and oral skills in German and English.
  • Proficient with Microsoft Office tools.
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