Stellenangebot

Business Risk Manager (f/m/d)

Der Business Risk Manager (f/m/d) ist für die Aufrechterhaltung der Integrität und Wirksamkeit des Kontrollrahmens innerhalb der Global Products & Solutions (GPS) Division bei Julius Baer verantwortlich. Die Hauptaufgaben umfassen die Verwaltung von Kontrollen, die Identifizierung von Verbesserungsbereichen und die Bereitstellung von Expertenanleitungen für Stakeholder.

Stellenbeschreibung

Aufgaben

  • control landscape of the GPS division in alignment with the bank's internal control standards
  • Manage the effectiveness of the controls across the GPS division, identifying areas for improvement and mitigate potential risks to ensure adherence to regulatory requirements
  • Assess impact of changes of bank-wide policies and ensure adjustments are reflected in the internal controls
  • Be the go-to Business Risk Manager for the GPS division - provide expert guidance to the stakeholders, ensuring that controls are properly designed and implemented to address key risk types
  • Administer the internal control tool (e.g. creating new controls, editing existing controls and assigning roles as required) centrally for GPS
  • Deliver targeted training and provide risk advisory services to the stakeholders on control-related topics to promote a culture of risk awareness and risk management
  • Collaborate with cross-functional teams and identify opportunities to enhance functional efficiency, proposing process/control improvements for the purpose of implementing effective controls to mitigate key business risks
  • Represent the GPS Division in bank-wide committees, projects, and working groups dedicated to risk and/or control topics

Anforderungen

  • Bachelor's degree or equivalent higher education, preferably in Banking & Finance, Business Administration, or Law
  • Further education in financial markets and risk is a strong plus (e.g., FRM, CRM, CFA)
  • Relevant Industry Experience: More than 5 years of working experience preferably in the private banking industry, with a focus on risk, compliance, financial markets, or advisory services
  • Strong knowledge of compliance, risk management, and audit principles
  • Familiar with investment products and services, along with associated risks
  • Solid understanding of banking business, financial products, and processes related to advisory, trading, sales, and execution
  • Good understanding of and strong interest in non-financial risk-related topics, such as operational risks, product and services risk, market abuse/manipulation risks, etc
  • Ability to conduct in-depth data analysis, gap assessments, and present solution options
  • Build highly impactful relationships with global and regional stakeholders across functions within the
  • Committed to high standards or quality and performance in all deliverables

Wir bieten

Keine spezifischen Benefits oder Anreize genannt.

Jobdetails

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