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coni+partner AG

Associate Risk Analytics, Funds

coni+partner AG

Associate Risk Analytics Funds focusing on quantitative finance for asset management at an international bank in Zürich. Collaborating on risk analysis and optimizing asset management strategies.

Posted 5/30/2026full-timeZürich • 🇨🇭 SwitzerlandJuniorMid-LevelWebsite

Tech Stack

Tools & technologies
PythonSQLVBA

About the role

Key responsibilities & impact
  • Risk- and performance-oriented quantitative analysis and calculations for a wide range of asset classes including fund investments in the field of the bank's asset management
  • Foster in-depth risk analyses, estimates and recommendations based on high quality assessments
  • Monitoring of risk positions in the investment portfolios
  • Preparation of reports containing risk analytics and key performance indicators for internal and external stakeholders
  • Refine methodologies to constantly expand our analysis and reporting capabilities
  • Optimizing asset management strategies, products, processes and tools
  • Work closely with other team members, portfolio managers and senior management
  • Regular reporting to the Head of Asset Management
  • Participation in projects focused on the continuous development of infrastructure, tools and methods.

Requirements

What you’ll need
  • Master in Quantitative Finance
  • CFA or FRM, as an advantage
  • Professional experience in asset or portfolio management at a bank or a major fund manager, or in fund auditing
  • Experience in risk & performance calculation across equity, fixed income, multi-asset and fund portfolios, including private equity Investments
  • Experience in ex-ante and ex-post risk analysis, including VaR calculations, factor exposures, concentration limits, liquidity risk, tracking error, etc.
  • Experience with investment restriction set up and controlling
  • Experience with Bloomberg, Morningstar, FactSet, etc.
  • Programming skills: SQL, VBA and Python, etc.
  • Strong analytical skills
  • Team-oriented with process oriented thinking and problem solving mentality
  • Ability to go into details and to communicate the results to internal stakeholders and investors
  • English and German.

Benefits

Comp & perks
  • Flexible work arrangements

ATS Keywords

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Hard Skills & Tools
quantitative analysisrisk analysisperformance calculationVaR calculationsfactor exposuresliquidity risktracking errorSQLVBAPython
Soft Skills
analytical skillsteam-orientedprocess oriented thinkingproblem solvingcommunication skillsattention to detail
Certifications
Master in Quantitative FinanceCFAFRM