Business Risk Manager – Global Products & Solutions (GPS) 100% (f/m/d) - Temporary 6-12 month
Bank Julius Bär & Co. AG
Zürich
Key information
- Publication date:12 November 2025
- Workload:10 – 100%
- Place of work:Zürich
At Julius Baer, we celebrate and value the individual qualities you bring, enabling you to be impactful, to be entrepreneurial, to be empowered, and to create value beyond wealth. Let’s shape the future of wealth management together.
Join Julius Baer's Risk Framework & Enablement Department as a Business Risk Manager, where you will play a critical role in managing non-financial risks, risk frameworks, and audit-related topics within the GPS Division. As a key member of our team, you will have the opportunity to make a significant impact, drive innovation, and shape the future of wealth management.
IHRE AUFGABEN
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Develop, maintain, and assess the risk framework to ensure its effectiveness and alignment with bank-wide policies
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Assess impact of changes of bank-wide policies and ensure adjustments are reflected in internal procedures and governance
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Collaborate with stakeholders to identify and mitigate operational risks, track incidents, and contribute to their timely and sustainable resolution
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Manage audit-related activities, including coordinating with internal audit teams, ensuring resolution of audit findings, and implementing audit recommendations
YOUR PROFILE
- Bachelor’s degree or equivalent higher education, preferably in Banking & Finance, Business Administration, or Law
- Further education in financial markets and risk is a strong plus (e.g., FRM, CRM, CFA)
- Relevant Industry Experience: 5-7 years of working experience in the banking industry, with a focus on risk, compliance, financial markets, or advisory services
- Front to back knowledge of trading and execution processes is a must, product governance and best execution knowledge an advantage
- Strong affinity with the operational processes associated with the creation and distribution of structured products as well as traditional and alternative funds
- Strong knowledge of compliance, risk management, and audit principles
- Solid understanding of banking business, financial products, and processes related to advisory, trading, sales, and execution
- Good understanding of and strong interest in risk-related topics, such as operational risks, fraud, suitability
- Good grasp of products and investment systems/processes in the global private banking context
- Ability to conduct in-depth data analysis, gap assessments, and present solution options
- Data query and/or programming experience is a plus, e.g. SQL, Python
- Diligent, accurate, and reliable personality
- Critical and conceptual problem-solver with a growth mindset
- Able to work independently in a global team setup and take ownership of initiatives, with a highly motivated and positive attitude
- Able to innovate, troubleshoot problems, and provide effective solutions
- Strong analytical, presentation, and communication skills
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Committed to high standards of quality and performance in all deliverables
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