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Position: Business Risk Specialist
Institution: UBS Group AG
Location: Zürich, Switzerland
Duties: analyze and evaluate processes, products and services with the aim to identify and assess operational risks and effectively manage these; develop strategies (i.e. risk management frameworks; business processes) to manage and mitigate the identified risks; work closely with business leaders and stakeholders to ensure that risk management processes are integrated into Global Investment Management’s value chain and risk considerations are integral part of the risk culture; capture the status quo, draw conclusions, develop options how to improve the modus operandi and ensure implementation of the identified improvements; observe external and internal trends and developments with risk or regulatory angles as well as from a simplification and automation perspective and in that context, assess and formulate solutions, products, programs, strategies to improve processes
Requirements: multiple years of practical experience in risk management with strong focus on implementation within the global financial service or banking industry OR deep knowledge to investment products and services; university degree or equivalent (e.g. Economics, Physics, Mathematics) and any other risk/investment focused certification (e.g. FRM, CFA, CIIA) is a prerequisite
   
Text: Business Risk Specialist analyze and evaluate processes, products and services with the aim to identify and assess operational risks and effectively manage these; develop strategies (i.e. risk management frameworks; business processes) to manage and mitigate the identified risks; work closely with business leaders and stakeholders to ensure that risk management processes are integrated into Global Investment Management’s value chain and risk considerations are integral part of the risk culture; capture the status quo, draw conclusions, develop options how to improve the modus operandi and ensure implementation of the identified improvements; observe external and internal trends and developments with risk or regulatory angles as well as from a simplification and automation perspective and in that context, assess and formulate solutions, products, programs, strategies to improve processes multiple years of practical experience in risk management with strong focus on implementation within the global financial service or banking industry OR deep knowledge to investment products and services; university degree or equivalent (e.g. Economics, Physics, Mathematics) and any other risk/investment focused certification (e.g. FRM, CFA, CIIA) is a prerequisite
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