Stellenangebot

Investment Risk Specialist

Die EFG International sucht einen Investment Risk Specialist, der als strategischer Partner die gruppenweite Investitionsrisiko- und Analyseagenda leitet und komplexe Marktdaten in handhabbare Erkenntnisse umwandelt. Der Idealkandidat verfügt über mindestens 8-10 Jahre Erfahrung im Bankwesen, einen Master-Abschluss in Banking und Finance sowie die CFA-Level-III-Zertifizierung.

Job Description

To act as a strategic partner across all service lines, providing the discipline that secures EFG's growth ambitions. The role owns the group-wide investment risk and analytics agenda, transforming complex market data into actionable conviction and embedding institutional-grade oversight across Advisory, New Capital, and Discretionary Portfolio Management (DPM)

Key Responsibilities

  • Strategic Leadership & Framework Ownership: Define and own the investment risk and analytics framework for Advisory, ensuring consistency, robustness, and alignment with EFG's risk appetite and investment philosophy.
  • Ownership of Portfolio Risk Measurement for Advisory: Own the end-to-end Product and Portfolio Risk Measurement for Advisory, including the Product Risk Classification (PRC) and the related risk controls and the aggregation to a portfolio risk measurement
  • Risk-Driven Culture & Franchise Leadership: Lead a cultural shift in the first line of defence by positioning risk management as a core part across all our solutions.
  • CIO Investment Framework: Play a key role in shaping the bank's long-term investment stance by contributing to the quantitative process and quarterly engage in the Global Investment Committee to challenge risk-taking, ensure portfolios remain aligned with the house view, and bring a disciplined risk and analytics perspective into core investment governance.
  • Innovation and Automation: Actively seek to introduce new ideas—including Power BI dashboards, intranet enhancements, and process automation—to improve transparency and efficiency.

Skills and Qualifications

  • Education: Master's degree in Banking and Finance.
  • Certification: CFA Level III, demonstrating a commitment to professional development and technical excellence.
  • Experience: at least 8-10 years of experience within the bank, with a proven track record of delivering analytical and project-based results across investment areas.
  • Technical Proficiency: Advanced proficiency in Excel, Python Bloomberg, and Power BI, alongside experience with risk engines like Aladdin as a plus.
  • Domain Knowledge: Strong understanding of investment products, risk concepts, and cross-asset correlations.
  • Driven by Accountability: Focuses on driving results and building trust to power growth.
  • Powered by Insight: Utilises data-driven insights for continuous improvement and smart decision-making.
  • Safety and Agility: Maintains the balance between institutional safety and the agility required to create unrivalled client value.

Our Values

  • Accountability: Taking ownership for tasks and challenges, as well as seeking continuous improvement.
  • Hands-on: Being proactive to rapidly deliver high-quality results
  • Passionate: Being committed and striving for excellence
  • Solution-driven: Focusing on client outcomes and treating clients fairly with a risk-aware mindset
  • Partnership-oriented: Promoting collaboration and teamwork. Working together with an entrepreneurial spirit.

Jobdetails

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