Our 18-month Graduate Programme is designed to unleash your potential through three dynamic rotations, including an international assignment. You’ll gain hands-on experience, build a global network, and lay the foundation for a thriving career in wealth management.
As part of the Non-Financial Risk Control you will join Bank Julius Baer Europe S.A., which plays a key role to provide independent oversight and challenge of non-financial risks across the European entities.
The function oversees risks arising from operational processes, internal controls, information and communication technology, cyber security, data management, third party arrangements, business continuity, and operational resilience.
The Graduate Non-Financial Risk Control Manager supports the identification, assessment, monitoring, and reporting of these risks in a consistent and forward-looking manner. Key activities include maintaining risk registers, monitoring Key Risk Indicators, supporting risk and control assessments, reviewing operational risk incidents, and tracking remediation actions. Through these activities, the role contributes to maintaining a robust and effective control environment.
Working closely with the Head of Non-Financial Risk Control, business units, and other relevant stakeholders, the role supports effective risk oversight, constructive challenge, and greater risk awareness across the European entities.
The role also contributes to the implementation, oversight, and monitoring of DORA requirements. This includes activities related to ICT risk management, incident classification and reporting, operational resilience testing, ICT third party risk oversight, and regulatory reporting across the European entities and branches.