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Market Risk Analyst - Wealth Management

  • Job type: Permanent
  • Location: Zürich
  • Salary: Competitive
  • Job reference: FS161909042018
  • Sector: Banking and Finance, Selby Jennings, Risk Management
  • Date posted: 09/04/2018
A Swiss wealth management company is actively looking for a Market Risk Analyst to complete its Risk & Reporting Department. As an active member of this dynamic team, you will be in contact with the CEO of the company on a daily basis as well as the management board.
This opportunity gives you a global view of the business and potentially a big career development into the top management.  



Your main responsibilities will be as followed:
  • Identify and assess key issues impacting Business
  • Assist in a variety of bank-wide high-level initiatives and special projects
  • Participation in project work and assistance with project management for major deliverables 
  • Manage complex cross-border structured transactions
  • Conduct global internal audits applying state of the art Audit methodologies within different business areas of the bank
  • Deliver crucial contribution to planning, fieldwork and presentation of findings in close collaboration with the Market Risk manager and with the other members assigned to a certain project
 


Your skills:
  • Degree in relevant field
  • At least 6 years of experience in audit or in the financial industry
  • Familiar with analytical skills and precision in delivery
  • Team player with the ability to liaise across teams, departments and regions
  • The motivation for continuous development
  • Implementing guidelines for different teams (front-office teams)
  • Fluency in German and English (Oral and Written), any other language a plus
  • Current residence in Switzerland
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