Our client is an international financial institution that acts as a bank for central banks, supporting global monetary and financial stability through cooperation, research, and the provision of specialized banking services.
Risk Operations & Controls
Support daily monitoring of market, credit, and liquidity risks, including financial leverage.
Ensure compliance with risk limits and policies, and document risk frameworks.
Oversee key risk control processes and help improve related systems and procedures.
Risk Systems & Data
Maintain and improve risk measurement systems; ensure data accuracy and documentation.
Manage counterparty setup and data (limits, ratings, agreements); follow up on settlement issues.
Support and perform daily pricing and valuation tasks in coordination with relevant teams.
Reporting
Deliver regular risk and performance reports for internal and external stakeholders.
Contribute to disclosures for senior management and the Bank's Annual Report.
Systems & Process Improvement
Test and enhance risk and valuation tools in collaboration with Risk IT.
Identify ways to streamline operations and reduce manual, low-value tasks.
3+ years' experience in risk operations and reporting, with a focus on risk management.
Bachelor's degree in finance, economics, math, or similar field.
Solid understanding of financial markets and products, especially fixed income and derivatives.
Fluent in English, both written and spoken.
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JN-062025-6755182
Job Function
Banking & Financial Services
Specialisation
Risk Management
Industry
Financial Services
Location
Basel
Contract Type
Interim
Job Reference
JN-062025-6755182