Aktiviere Job-Benachrichtigungen per E-Mail!

Senior Risk Manager

Ignite Placements

Schweiz

Vor Ort

CHF 90’000 - 130’000

Vollzeit

Vor 30+ Tagen

Erstelle in nur wenigen Minuten einen maßgeschneiderten Lebenslauf

Überzeuge Recruiter und verdiene mehr Geld. Mehr erfahren

Starte ganz am Anfang oder importiere einen vorhandenen Lebenslauf

Zusammenfassung

A leading Swiss financial institution seeks a Senior Risk Manager to oversee risk management processes within its Asset Management division. This role involves identifying key risks, supporting fund structuring activities, and preparing reports for senior management. The position offers a chance to transition from a temporary to a permanent role, reflected in the depth and variety of responsibilities.

Qualifikationen

  • At least 5 years experience in risk management or investment analytics.
  • Full business fluency in English required.
  • Previous exposure to operational risk topics would be beneficial.

Aufgaben

  • Identify key risk exposures and performance drivers regarding investment/market risk.
  • Prepare regular reports for Senior Management and stakeholders.
  • Ownership of monthly review and analysis of Multi Asset Class products.

Kenntnisse

Market Risk
Counterparty Risk
Liquidity Risk
Financial Instruments Knowledge
Investment Analytics

Ausbildung

CFA
CAIA
FRM

Jobbeschreibung

We are looking for a Senior Risk Manager for one of our trusted clients, a leading Swiss financial institution. As part of the Asset Management division of the bank you would be responsible for addressing, escalating and tracking risk management-related issues as well as supervise and assess the level of risk of the products and the adequacy of the respective risk management process.

This would be a temporary position for 6 months with the possibility of a subsequent permanent position.

Job Responsibilities:
- Identifying key risk exposures and performance drivers regarding investment/market risk, credit/counterparty risk, performance risk, fiduciary risk, liquidity risk and exposure analysis
- Support the funds structuring activities, liaising with internal clients, drafting respective policies, filings and processes and ensure the implementation, production and delivery of adequate risk reports for Senior Management and the Board.
- Assist management with the evaluation of risk and investment performance across all products
- Mandate further risk analysis and escalation of risks
- You take ownership for the monthly review and analysis of existing and new Multi Asset Class products from a holistic risk management perspective, identify and resolve risk and control issues (market, fiduciary, liquidity, credit, operational, credit/counterparty, reputational, conduct risks)
- You prepare regular reports for the Global and local Senior Management, Head of Risk Management and other stakeholders

Job Requirements

At least 5 years experience in a risk management or investment analytics role within asset management or similar

Experience in Market Risk, Counterparty Risk and/or Liquidity Risk

Previous exposure to operational risk topics and processes would be beneficial

Sound knowledge of financial instruments including derivatives

Additional qualifications would be an asset (e.g. CFA, CAIA, FRM or similar)

Full business fluency in English required

About the Company

We are a multinational financial services company founded and based in Switzerland and with our headquarters also based in Switzerland.

Hol dir deinen kostenlosen, vertraulichen Lebenslauf-Check.
eine PDF-, DOC-, DOCX-, ODT- oder PAGES-Datei bis zu 5 MB per Drag & Drop ablegen.