Auf einen Blick
- Aufgaben: Lead risk management for asset management and private banking, ensuring compliance and effective supervision.
- Arbeitgeber: Join a leading financial services firm in Geneva, specializing in asset management and private banking.
- Mitarbeitervorteile: Enjoy a competitive salary, professional development opportunities, and a collaborative work environment.
- Warum dieser Job: Make a significant impact on risk management while working with a dynamic team in a prestigious industry.
- Gewünschte Qualifikationen: 5+ years as a Chief Risk Officer, strong investment expertise, and relevant certifications required.
- Andere Informationen: Fluency in French and professional English proficiency are essential.
Das voraussichtliche Gehalt liegt zwischen 120000 - 168000 € pro Jahr.
Job title: Chief Risk Officer
Job type: Permanent
Emp type: Full-time
Industry: Financial Services
Functional Expertise: Executive Management
Salary type: Annual
Location: Geneva, Switzerland
Job published: 10-12-2024
Job ID: 33517
Contact name: Fabrice Drouin
Contact email:
Job Description
As Chief Risk Officer (CRO), you will play a key role within the Asset Management and Private Banking division. Reporting directly to the Head of the Division, you will act as the first line of defense in risk management for these two strategic departments.
Responsibilities
- Risk Supervision: Identify, assess, and monitor risks related to asset management, private banking activities, and structured products.
- Risk Management Framework: Develop and implement a robust framework for monitoring risks tailored to both private and institutional management needs.
- Regulatory Compliance: Ensure compliance with regulations related to management and advisory mandates, fund management, and structured products.
- Leadership: Manage a team of two employees while working closely with various departments.
- Reporting: Provide clear and concise analyses and reports to the management team.
Skills and Experience
- At least five years of experience as a Chief Risk Officer in a financial institution of a similar size.
- Strong expertise in investments, portfolio construction, and risk management across diverse asset classes (equities, bonds, mixed portfolios, real estate, alternative funds, etc.).
- In-depth knowledge of regulations related to management mandates, investment funds, and structured products.
- Proven ability to design and implement effective risk management tools.
- Holder of a CIIA or CFA certification, complemented by specialized training in risk management or finance.
- French: Native speaker.
- English: Professional proficiency required.
- Exceptional rigor and a strong sense of ethics.
- Pragmatic and solutions-oriented approach.
- Emotional intelligence and the ability to collaborate effectively within a team.
- Ability to foster a constructive approach and a positive environment for risk management with various stakeholders.
#J-18808-Ljbffr
Chief Risk Officer Arbeitgeber: UR Capital Sàrl
Kontaktperson:
UR Capital Sàrl HR Team
StudySmarter Bewerbungstipps 🤫
So bekommst du den Job: Chief Risk Officer
✨Tip Number 1
Make sure to highlight your experience in risk management within financial institutions. Focus on specific examples where you've successfully identified and mitigated risks, as this will resonate with our need for a Chief Risk Officer.
✨Tip Number 2
Demonstrate your leadership skills by discussing how you've managed teams in the past. We value emotional intelligence and collaboration, so share instances where you fostered a positive team environment.
✨Tip Number 3
Showcase your knowledge of regulatory compliance in your discussions. Being well-versed in regulations related to asset management and structured products is crucial for this role, so be prepared to discuss your expertise.
✨Tip Number 4
Since we operate in a bilingual environment, emphasize your proficiency in both French and English. This will not only demonstrate your communication skills but also your ability to engage with diverse stakeholders effectively.
Diese Fähigkeiten machen dich zur top Bewerber*in für die Stelle: Chief Risk Officer
Tipps für deine Bewerbung 🫡
Understand the Role: Before applying, make sure you fully understand the responsibilities and requirements of the Chief Risk Officer position. Tailor your application to highlight your relevant experience in risk management and leadership.
Highlight Relevant Experience: In your CV and cover letter, emphasize your five years of experience as a Chief Risk Officer or in a similar role. Detail your expertise in investments, portfolio construction, and risk management across various asset classes.
Showcase Certifications: Mention your CIIA or CFA certification prominently in your application. If you have additional specialized training in risk management or finance, be sure to include that as well.
Demonstrate Language Proficiency: Since the role requires native French and professional proficiency in English, ensure your application reflects your language skills. Consider providing examples of how you've used these languages in a professional context.
Wie du dich auf ein Vorstellungsgespräch bei UR Capital Sàrl vorbereitest
✨Showcase Your Expertise
Be prepared to discuss your extensive experience as a Chief Risk Officer. Highlight specific examples of how you've identified and managed risks in asset management and private banking, particularly focusing on diverse asset classes.
✨Demonstrate Regulatory Knowledge
Familiarize yourself with the latest regulations related to management mandates and structured products. Be ready to explain how you ensure compliance and how this has impacted your previous roles.
✨Leadership Skills Matter
Since you'll be managing a team, emphasize your leadership style and how you foster collaboration. Share examples of how you've successfully led teams in high-pressure environments.
✨Prepare for Behavioral Questions
Expect questions that assess your emotional intelligence and problem-solving abilities. Prepare scenarios where you've navigated complex situations or conflicts, showcasing your pragmatic approach to risk management.