Risk Manager - Zurich, Schweiz - JobHive AG

JobHive AG
JobHive AG
Geprüftes Unternehmen
Zurich, Schweiz

vor 1 Woche

Lena Schneider

Geschrieben von:

Lena Schneider

beBee Recruiter


Beschreibung
Who is hiring?

For an Investment Boutique in Zurich, we are looking for a Risk Manager

Tasks

  • Involved in Investment risk tasks, Regulatory risk and Corporate risk
  • Pivotal role in identifying, assessing, and managing risks associated with our operations
  • Ensuring adherence to regulatory requirements
  • Implementing robust risk management frameworks
  • Providing input for riskrelated policies, investment mandates and investment processes and reporting to ensure compliance with best practice
  • Working closely with the Compliance Officer to ensure that the internal control system is adequate and properly implemented
  • Ensuring compliance with defined investment processes, risk limits and authorizations, including proper communication with external auditors
  • Working closely with external advisors to ensure adequate controls are defined and implemented
  • Stay abreast of applicable financial regulations and ensure the company's compliance with regulatory guidelines
  • Preparing and managing quarterly Risk Committee meetings
  • Develop and maintain risk management frameworks, methodologies, and tools to proactively identify and manage risks
  • Monitor risk exposure and implement appropriate risk mitigation strategies in collaboration with Risk Committee members
  • Prepare and present risk assessment reports, highlighting key findings, trends, and recommendations to senior management and relevant stakeholders
  • Reviewing investment risk and providing input when relevant
  • Providing insights from a risk perspective to support the relevant decisionmakers in their functions
  • Assuming responsibility for and driving key riskrelated initiatives

Requirements:


  • Bachelor's degree in finance, economics, risk management, or a related field
  • Master's degree or professional certification in risk management or a relevant discipline is highly desirable
  • Minimum 5 years of proven experience in risk management within a regulated financial services firm
  • Strong knowledge of financial services regulations, industry best practices, and risk management frameworks
  • Excellent analytical skills with the ability to identify, assess, and mitigate risks effectively
  • Exceptional written and verbal communication skills, with the ability to present complex riskrelated information clearly and concisely
  • Strong interpersonal skills to collaborate with crossfunctional teams and influence stakeholders
  • Detailoriented with excellent organizational and time management abilities
  • Ability to work independently, handle multiple priorities, and meet deadlines
  • Understanding of different financial instruments (liquid as well as illiquid asset classes)
  • Fluency in both written and spoken German and English is required
CV, diplomas, transcripts and reference letters directly to us.

If you have any questions, please feel free to reach out to us.

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