The risk department of this private bank and wealth management practice is looking to recruit an Investment Risk Manager to join its Pfaffikon based division.
The Investment Risk Manager is primarily charged with creating quantitative performance and risk analysis on all the main investment products.
To achieve this you will have to implement, evolve and develop the internal control processes and work in conjunction with the various investment committees
, senior management, investment management and institutional sales - as and when required.
The Investment Risk Manager takes responsibility for the maintenance and development of performance and risk systems and undertakes all Qualitative Risk Analysis.
Finally in this Swiss banking job you will contribute to the risk-budgeting of new products under development.
To be considered for the Investment Risk Manager role you will have at least three years Risk Management experience in the Asset management industry, preferably in private banking or at a Hedge Fund.
It is expected you will hold a degree in Economics, Business Mathematics or Information Systems. You will have a real flair for quantitative correlations and analytical thinking.
You will have strong IT skills (programming, databases) and, ideally, practical knowledge in dealing with performance and risk systems, such as UBS Delta, Risk Metrics, BarraOne, etc.
Lastly you will have very good oral and written German-and English skill.
The Investment Risk Manager is a well paid Swiss fund vacancy offering an exciting career option with a great salary package.