- Location
- Geneva, GE
- Type
- Full-time
- Department
- Finance
- Seniority
- Senior
- Experience
- 8+ years
- Closing date
- Today
- Source
- Vincere
Description
Join an established international asset management organisation in Nyon as a Senior Risk & Compliance Officer, overseeing compliance, operational risk and governance matters for its Swiss asset management activities, with regular interaction across Geneva and Paris.
Responsibilities
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Provide compliance advisory support to the Swiss asset management entities and business teams.
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Ensure compliance with the Swiss regulatory framework, including FinSA, FinIA, CISA, AMLA, relevant ordinances and FINMA requirements.
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Oversee cross-border activities, distribution rules and sales practices.
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Maintain, review and enhance compliance policies, procedures and internal guidelines.
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Monitor regulatory developments and assess their impact on the business.
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Develop, implement and perform second-line compliance and operational risk controls.
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Conduct operational risk assessments and maintain risk mapping, following up on remediation actions where required.
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Oversee outsourced activities and perform second-level controls on compliance and risk activities delegated to other group entities.
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Support KYC and onboarding processes, including second-level reviews, periodic reviews and client/counterparty due diligence.
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Prepare compliance and operational risk reporting for senior management and Boards.
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Act as a key point of contact for FINMA, external auditors and other relevant stakeholders on compliance and operational risk matters.
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Escalate material compliance issues, operational incidents and risk matters to local and Group management.
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Contribute to the organisation and delivery of compliance and risk training for Front Office, Middle Office, Sales and control functions.
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Provide support to broader Group compliance and permanent control activities when required.
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Contribute to the oversight of risk and compliance activities across selected international entities.
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Support corporate governance and company secretarial activities, including preparation and follow-up of Swiss Board meetings and related documentation.
Requirements
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8+ years of professional experience in Risk & Compliance, ideally within a Swiss asset management company, investment manager or financial institution.
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Strong practical knowledge of the Swiss regulatory framework, including FINMA regulations, FinSA, FinIA, CISA and AMLA.
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Proven experience in asset management compliance, including investor protection, product governance, AML/KYC, sanctions and cross-border activities.
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Solid understanding of compliance monitoring, second-line controls and operational risk frameworks.
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Previous experience dealing with FINMA, auditors and senior management is highly valued.
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Familiarity with European regulatory frameworks such as UCITS, AIFMD and MiFID II is an advantage.
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Strong analytical mindset with the ability to translate regulatory requirements into practical and effective processes.
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Excellent communication and interpersonal skills, with the ability to interact confidently with senior stakeholders and business teams.
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Pragmatic, proactive and solution-oriented approach.
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Strong organisational skills and attention to detail.
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Ability to work independently while collaborating effectively with international teams.
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Fluent English and French is essential.