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Risk Manager

Mirabaud & Cie SA·Geneva, GE, ch·29.09.2026

 jobs.smartrecruiters.com

 
 
Festanstellung80–100%
Required language
English professional, French professional
Job written in
English
Location
Geneva, GE, ch
Work type
On-site

 

Mirabaud is a dynamic and innovative bank with a strong entrepreneurial spirit, led by the 7th generation of the Mirabaud family. The company offers a family-oriented work environment with over 700 employees across 13 offices in 8 countries. As a Risk Manager in the Wealth Management line of business, you will be part of the Risk Control team, focusing on financial risk management. Your main responsibilities will include developing, implementing, and executing controls for financial risks. This involves monitoring, analyzing, and reporting on various risk exposures, such as market risk, liquidity risk, and credit risk, particularly in private banking activities. You will also contribute to the development of risk analysis and monitoring tools, design and enhance risk models, and ensure alignment with financial regulations. Additionally, you will produce regulatory reports, assess financial counterparties, and define securities loan-to-values for Lombard loans. To excel in this role, you must have a Master's degree in Economics or Finance, or an equivalent qualification. A Financial Risk Manager certification is beneficial. You need a minimum of 7 years of experience in risk management, preferably in private banking, wealth management, or asset management. Proficiency in FINMA/Basel regulations is essential, as is fluency in French and English. Knowledge of another language is a plus. Nice-to-have skills include proficiency in MS Office tools, as well as knowledge of VBA, Power BI, DAX, and Python. The role requires a strong analytical mindset, the ability to improve data tools and processes, and good interpersonal skills. The environment at Mirabaud is family-friendly and dynamic, offering flexible working arrangements, a variety of cultural and sporting activities, and a commitment to inclusion and equal treatment. What the role asks for: - Master in Economics or Finance or equivalent - 7 years of risk management experience - Fluent in French and English - Very good knowledge of FINMA/Basel regulations - Financial Risk Manager certification (nice to have) - Knowledge of VBA, Power BI, DAX & Python (nice to have)

 

 

 

 

 

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neu in den letzten 7 Tagen337
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Stand 2. Oktober 2026.

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