Job Profile Risk Management Generalist (f/m/d) 100% presso Julius Baer
Julius Baer · Zurich, Svizzera · Onsite
- Professional
- Ufficio in Zurich
At Julius Baer, we celebrate and value the individual qualities you bring, enabling you to be impactful, to be entrepreneurial, to be empowered, and to create value beyond wealth. Let’s shape the future of wealth management together.
Join Julius Baer's Control Framework & Risk Advisory team in Global Products & Solutions (GPS) as a Business Risk Manager, where you will play a crucial role in maintaining the integrity and effectiveness of the control framework within the Global Products & Solutions (GPS) Division.As a key member of our team, you will have the opportunity to make a significant impact, drive efficiencies and promote a culture of risk management.
YOUR CHALLENGE
Design, implement, evaluate, and maintain the control risk framework for GPS to strengthen the control landscape of the GPS division in alignment to the Bank’s internal control standards
Manage the effectiveness of the controls across the GPS division, identifying areas for improvement and mitigate potential risks to ensure adherence to regulatory requirements
Assess impact of changes of bank-wide policies and ensure adjustments are reflected in the internal controls
Be the go-to Business Risk Manager for the GPS division - provide expert guidance to the stakeholders, ensuring that controls are properly designed and implemented to address key risk types
Administer the internal control tool (e.g. creating new controls, editing existing controls and assigning roles as required) centrally for GPS
Deliver targeted training and provide risk advisory services to the stakeholders on control-related topics to promote a culture of risk awareness and risk management
Collaborate with cross-functional teams and identify opportunities to enhance functional efficiency, proposing process/control improvements for the purpose of implementing effective controls to mitigate key business risks
Represent the GPS Division in bank-wide committees, projects, and working groups dedicated to risk and/or control topics
YOUR PROFILE
Bachelor’s degree or equivalent higher education, preferably in Banking & Finance, Business Administration, or Law
Further education in financial markets and risk is a strong plus (e.g., FRM, CRM, CFA)
Relevant Industry Experience: More than 5 years of working experience preferably in the private banking industry, with a focus on risk, compliance, financial markets, or advisory services
Strong knowledge of compliance, risk management, and audit principles
Familiar with investment products and services, along with associated risks
Solid understanding of banking business, financial products, and processes related to advisory, trading, sales, and execution
Good understanding of and strong interest in non-financial risk-related topics, such as operational risks, product and services risk, market abuse/manipulation risks, etc
Ability to conduct in-depth data analysis, gap assessments, and present solution options
Build highly impactful relationships with global and regional stakeholders across functions in the Bank
Diligent, accurate, and reliable personality
Able to work independently in a global team setup and take ownership of initiatives, with a highly motivated and positive attitude
Able to innovate, troubleshoot problems, and provide effective solutions
Strong analytical, presentation, and communication skills
Committed to high standards of quality and performance in all deliverables
We are looking forward to receiving your full job application through our online application tool. Further interesting job opportunities can be found on our Career site.
Is this not quite what you are looking for? Set up a job alert by creating a candidate account here.
Candidarsi ora