Job offer

Risk Manager - Strategic Risks

BCV is seeking a Risk Manager – Strategic Risks to analyze risks and develop strategies for risk mitigation. The ideal candidate will have a master’s degree, 5–10 years of experience in the risk management industry, and strong analytical skills.

Tasks

Your main responsibilities:
  • conduct the annual analysis of key risks and the annual stress test (banking stress test)
  • communicate regularly on the assessment of strategic risks and provide periodic reports
  • monitor developments in the economic, political, and regulatory environment and analyze the impact of these developments on the Bank’s business lines and risks
  • Establish and maintain methods for analyzing and monitoring strategic and business risks
  • assist the department head with tasks and analyses based on current risk trends

Requirements

Your profile:
  • Master's degree (in engineering or equivalent)
  • Between 5 and 10 years of experience in financial risk management at a bank, audit firm, or consulting firm (such as a Big Four firm or equivalent)
  • expertise and experience in using statistical software (R, SAS, MATLAB, etc.), advanced Excel, and data management tools (such as Access or Oracle)
  • strong analytical, problem-solving, presentation, and writing skills
  • fluency in spoken and written French, English, and German

Job details

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