Risk Manager - Zurich, Schweiz - JobHive AG
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
If you have any questions, please feel free to reach out to us.
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