Investment Risk Manager
Listed on 2025-11-12
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Finance & Banking
Portfolio Manager, Wealth Management, Risk Manager/Analyst, Financial Consultant -
Management
Portfolio Manager, Wealth Management, Risk Manager/Analyst
Overview
At Vontobel, we are committed to actively shaping our future. We strive to engage and promote talent of varying age and gender, with a diverse range of experience, from various backgrounds. We create and pursue investment opportunities that get our clients ahead. As a global investment manager, we believe in high conviction asset management and investment solutions. With portfolio management teams in New York, London and Zurich, Vontobel Asset Management is a specialized investment manager with a multi‑boutique approach and a track record of strong and consistent growth.
We focus on Equities, Fixed Income, Multi Asset Class, and Alternative Investing, actively managing over CHF 100bn of assets on behalf of institutional and intermediary clients globally.
Our Investment Risk Team measures, assesses and challenges all investment‑related risks (e.g. market, credit and counter party, liquidity, ESG) in our actively managed investment portfolios and monitors implementation of mitigation measures. The team also plays an active role to support and shape the Risk Infrastructure landscape.
ResponsibilitiesIn this important role you will focus on independent risk analysis, assessment and when needed escalation relating to actively managed investment products across all boutiques. The function’s stakeholders are the firm’s senior management and investment teams.
LocationThe role will be based in Zurich.
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