Client Investment Risk Manager
Pictet
- Genf
- Unbefristet
- Vollzeit
- Ensuring compliance with relevant regulatory requirements, industry standards and internal risk management policies by performing a number of control tasks.
- Validating client onboarding for specific services and investment products.
- Monitoring execution-only investment portfolios to proactively identify emerging risks and recommend appropriate action.
- Drafting and ensuring internal directives and procedures are kept up to date.
- Promoting, implementing and coordinating the IRP approach and methodology for PWM across the Group.
- Conducting comprehensive risk reviews to evaluate the potential impact on the Bank and on clients.
- Contributing to various suitability projects such as leading dedicated suitability working groups and coordinating the implementation (specification, involvement in the projects and change management) of projects validated with local stakeholders.
- Preparing regular risk reports and presentations intended for senior management and stakeholders.
- Working with various business stakeholders and the Bank's different lines of defence to mitigate client investment risks.
- Providing relevant training courses and support for client-facing staff.
- A Bachelor's or Master's Degree in Finance, Economics or a related field.
- Proven experience in risk and compliance functions in wealth management or in a similar role in the financial services industry (experience in an external audit function would be a plus).
- Excellent knowledge of regulatory requirements and international compliance standards (LSFIN, MiFID, etc.).
- Knowledge of investment products, financial markets and risk management principles.
- Perseverance, ability to work independently and manage multiple priorities.
- Excellent analytical skills with strong focus on risk mitigation.
- Strong communication and presentation skills in English and French (other languages a plus).
- Ability to work as part of a team.
- Must be resident in Switzerland.