True Wealth is the Swiss pioneer in online wealth management, experiencing rapid growth. With 50’000 clients entrusting us with their savings and investments, we are committed to making investing simpler, more transparent, and more accessible. Our mission is to deliver exceptional value by combining digitization with cost-efficiency, empowering our clients to take control of their financial future. Behind a great product is a strong team – that’s where you come in. As Risk Manager, you report directly to the CRO and sit at the intersection of risk, technology, and business development. You are the person who finds the path forward, not the one who closes the door. You combine analytical depth with a highly pragmatic mindset, and you don’t shy away from performing hands‑on tasks on an operational level yourself. Together, you will help shape how we grow – soundly and confidently. Your responsibilities
Owning and evolving the risk framework across market, credit, liquidity, operational, and IT risks Actively participating in product and technology initiatives early in the development cycle – bringing risk perspective to the table before problems arise Assessing and monitoring risks arising from algorithmic portfolio management, model-driven investment decisions, and automated execution Identifying, documenting, and tracking IT and operational risks across our platform and infrastructure Preparing and maintaining regulatory reporting, managing supervisory relationships (FINMA), and moderating regulatory dialogues with confidence and clarity Collaborating cross-functionally with engineering, product, compliance, and investment teams to design pragmatic risk controls that enable rather than constrain Supporting internal risk culture through clear communication and a solutions-first mindset Your profile
4+ years of experience within a regulated financial services environment (asset management, digital banking, or fintech) Solid understanding of financial markets, portfolio construction, and quantitative investment approaches – you find algorithmic asset allocation genuinely interesting Comfort navigating a fast-moving, technology-intensive environment where processes are still being built Experience with IT and/or operational risk frameworks (e.g., ISAE 3402, ISO 27001, FINMA circulars) is a strong advantage Proven ability to communicate effectively with regulators – calm, precise, and constructive A collaborative, proactive working style: you engage early, propose solutions, and bring people along Fluency in English; German is a plus Please note that you must have a valid Swiss work permit. We do not accept applications from third parties or recruitment agencies.
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Owning and evolving the risk framework across market, credit, liquidity, operational, and IT risks Actively participating in product and technology initiatives early in the development cycle – bringing risk perspective to the table before problems arise Assessing and monitoring risks arising from algorithmic portfolio management, model-driven investment decisions, and automated execution Identifying, documenting, and tracking IT and operational risks across our platform and infrastructure Preparing and maintaining regulatory reporting, managing supervisory relationships (FINMA), and moderating regulatory dialogues with confidence and clarity Collaborating cross-functionally with engineering, product, compliance, and investment teams to design pragmatic risk controls that enable rather than constrain Supporting internal risk culture through clear communication and a solutions-first mindset Your profile
4+ years of experience within a regulated financial services environment (asset management, digital banking, or fintech) Solid understanding of financial markets, portfolio construction, and quantitative investment approaches – you find algorithmic asset allocation genuinely interesting Comfort navigating a fast-moving, technology-intensive environment where processes are still being built Experience with IT and/or operational risk frameworks (e.g., ISAE 3402, ISO 27001, FINMA circulars) is a strong advantage Proven ability to communicate effectively with regulators – calm, precise, and constructive A collaborative, proactive working style: you engage early, propose solutions, and bring people along Fluency in English; German is a plus Please note that you must have a valid Swiss work permit. We do not accept applications from third parties or recruitment agencies.
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Risk Manager (50%) Arbeitgeber: True Wealth
True Wealth ist ein hervorragender Arbeitgeber, der seinen Mitarbeitern die Möglichkeit bietet, in einem dynamischen und innovativen Umfeld zu arbeiten. Mit einem starken Fokus auf Teamarbeit und persönlichem Wachstum fördert das Unternehmen eine offene und transparente Kultur, in der jeder Mitarbeiter aktiv zur Weiterentwicklung des Risikomanagements beiträgt. Die Lage in der Schweiz ermöglicht es den Mitarbeitern, in einem stabilen und regulierten Finanzumfeld zu agieren, während sie gleichzeitig von flexiblen Arbeitsmodellen und einer klaren Karriereentwicklung profitieren.