Job offer
Risk Manager - Strategic Risks
Banque Cantonale Vaudoise (BCV) is seeking a Risk Manager for its Finance and Risk Department who will be responsible for analyzing and managing risks and who has experience in the financial sector as well as strong analytical skills. The ideal candidate holds a master’s degree, has 5–10 years of experience in risk management, and possesses strong knowledge of statistics and data analysis.
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 are a plus
We offer
We offer an attractive work environment within a well-established and respected institution in the region.Job details