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Swissquote recrutement

Head Risk Monitoring - Market And Credit Risks H/F Swissquote

Gland - 02
CDI
Résumé de l'offre
  • Télétravail occasionnel
  • Bac +2
  • Bac +3, Bac +4
  • Bac +5
  • Banque • Assurance • Finance

Détail du poste

As a Vice-Director within the Controlling & Risk department, you will play a pivotal role in shaping and executing Swissquote's risk strategy. Reporting directly to the Controlling & Risk Director, you will lead dynamic teams and will ensure adequate risk monitoring.

Key responsibilities

Team Management :
- Maintaining the motivating, productive, and safe environment by :
- Fostering a positive work atmosphere where employees feel motivated, valued, and connected to the team and the organization.
- Supporting employee growth through training, coaching, and advancement opportunities.
- Performance Management : Setting performance expectations, providing feedback, conducting performance reviews, and addressing any performance issues.
- Talent Development and Retention : Contributing to the creation of motivating career paths and skills development programs
- Managing all main HR processes(hiring, termination, transfers, warnings).

Operations management :
- Strategic Planning : Contributing to the department's vision by proposing and implementing organizational and process optimizations
- Cross-Functional Collaboration
- Provide expert guidanceon risk-related matters, in particular in relation to loans to clients, securities trading (including derivatives) and Asset & Liabilities Management, to support decision-making processes, in a FINMA/BNS and SIX regulations environment.
- Ensure effective communicationand information flow between the Risk teams, the Finance department and the first line of defense such as Trading and ALM departments.
- Risk Management : Credit and market risk tools and systems for data analysis, reporting, and decision-making.
- Documentation and Procedures : Making sure documentation and procedures are regularly reviewed and kept up to date.

Le profil recherché

- Minimum of 10 years track record in market and credit risks within the banking sector.
- Very good knowledge and previous experience in loan-to-clients business. Evaluation of pledged portfolio and borrowers' creditworthiness using financial analysis, credit scoring, and risk grading.
- Proficiency with margining business such as derivatives, including statistical analysis, financial and stress testing modeling and scenario analysis to quantify potential losses.
- Strong knowledge of Swiss banking regulations (Basel capital requirements, FINMA regulatory frameworks, BNS, SIX).
- Previous experience in a leadership role. Strong managerial skills, including the ability to lead, motivate, and develop teams to achieve strategic objectives effectively.
- Excellent interpersonal skills, results-oriented, adept at planning and organization.
- Excellent communication and presentation skills, with the ability to influence and inspire cross-functional teams

Head Risk Monitoring - Market And Credit Risks H/F
  • Gland - 02
  • CDI
Publiée le 15/07/2025 - Réf : SWISS_DyZeN8

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