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11857en
- Permanent
- English
- Mid-Senior level
- Investment, Trading & Risk Management
- Zug
- Commodities & Natural Resource
Skills
Market Risk, Credit Risk, Operational Risk, Quantitative Skills, Commodity Markets, Financial Markets, Programming
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This vacancy has now expired
Our client is an international multi-commodity trading group.
On behalf our client, Swisslinx is looking for a dynamic, hands-on and experienced risk manager responsible for leading key initiatives within market, credit and operational risk area.
Your Mission
- Lead group risk strategic initiatives and key projects
- Dealing with the most crucial operational challenges within the risk area and suggesting of process improvements
- Supervising the new product implementation process
- Daily communication with Chief Risk Officer, Risk Team, and Trading Floor
- Close cooperation with Executive Committee of the group regarding key risk projects
Your background
- University degree university degree in field of finance/mathematics/economics, quantitative background is an advantage
- At least 5 years of experience in field of financial and commodity markets and products
- Very good communication skills and fluent in English, both written and spoken
- Knowledge of technical computing tools and programing in any procedural language is an advantage
- Knowledge of processes, tools and techniques for assessing and controlling and a group’s exposure to risk
- Project management experience is an advantage
- Self-motivation, self-initiative and target oriented with attention to detail
What’s on offer
Our client is offers a very international and dynamic environment where you will get the opportunity to take responsibilities and implement your own ideas.
On behalf our client, Swisslinx is looking for a dynamic, hands-on and experienced risk manager responsible for leading key initiatives within market, credit and operational risk area.
Your Mission
- Lead group risk strategic initiatives and key projects
- Dealing with the most crucial operational challenges within the risk area and suggesting of process improvements
- Supervising the new product implementation process
- Daily communication with Chief Risk Officer, Risk Team, and Trading Floor
- Close cooperation with Executive Committee of the group regarding key risk projects
Your background
- University degree university degree in field of finance/mathematics/economics, quantitative background is an advantage
- At least 5 years of experience in field of financial and commodity markets and products
- Very good communication skills and fluent in English, both written and spoken
- Knowledge of technical computing tools and programing in any procedural language is an advantage
- Knowledge of processes, tools and techniques for assessing and controlling and a group’s exposure to risk
- Project management experience is an advantage
- Self-motivation, self-initiative and target oriented with attention to detail
What’s on offer
Our client is offers a very international and dynamic environment where you will get the opportunity to take responsibilities and implement your own ideas.
I manage this role