Cross Border Manager (80-100%)

Posted 4 Days Ago
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Geneva, CHE
In-Office
Senior level
Financial Services
The Role
Act as deputy Head of Cross Border for Private Clients, overseeing cross-border risk management, maintaining 1st line controls, designing controls and monitoring tools, coordinating governance, handling stakeholder queries and audits, and driving process standardization and strategic projects to ensure regulatory alignment.
Summary Generated by Built In

A career at Lombard Odier means working for a renowned global wealth and asset manager, with a strong focus on sustainable investing. An innovative bank of choice for private and institutional clients, our independently owned Firm is one of the best-capitalised banking groups in the world, managing close to CHF 300 billion and operating from over 25 offices across 4 continents.
 

With a history spanning over 230 years, Lombard Odier is an investment house providing a comprehensive offering of discretionary and advisory portfolio management, wealth services and custody. We also offer asset management services and investment strategies through Lombard Odier Investment Managers and provide advanced banking technology to other financial institutions.
 

“Rethink Everything” is our philosophy – it is at the heart of everything we do. We have grown stronger through more than 40 financial crises by rethinking the world around us to provide a fresh investment perspective for our clients.

Cross Border Manager (80-100%)

Conduct ongoing surveillance of cross-border regulatory developments and ensure timely identification and reporting of relevant impacts for the organization, maintain a cross-border control framework and escalate any deviation to the Head of Cross border within the COO function.

YOUR ROLE:

Act as a central coordination and expertise hub for cross-border risk management across the Private Clients Business. As Deputy to the Head of Cross Border, the role focuses on risk oversight, governance, and execution of strategic initiatives, ensuring alignment between regulatory requirements and business activities.

  • Proactively identify, assess, and escalate cross-border risks through appropriate governance forums
  • Ensure a robust and effective 1st Line of Defence (LoD) control framework, including clear escalation channels
  • Design, implement, and continuously enhance cross-border controls, procedures, and monitoring tools (e.g., travel approvals, activity controls)
  • Drive consistency and standardization of processes across markets and teams
  • Ensure documentation, guidelines, and internal manuals remain accurate, operationally relevant, and aligned with internal policies
  • Lead or contribute to cross-functional strategic project related to cross‑border risk management, documentation harmonization, process optimization and operational efficiency
  • Serving as the primary point of contact for all cross‑border queries for all stakeholders (1st and 2nd line) providing clear, consistent and business-oriented guidance to internal stakeholders and managing queries from internal and external auditors.
  • partner closely with the Central Business Risk Managers team and other functions to strengthen, streamline and maintain the cross-border controls and monitoring framework,
  • promote a risk-aware culture within the business by providing strong expertise, feedback and practical solutions.

YOUR PROFILE :

  • More than 7 years’ experience in Banking and Finance industries: in Risk, Compliance, or audit function.
  • Strong understanding of regulatory practices and risk management through studies or experience
  • Able and willing to work within a fast-paced, pressured and demanding environment
  • Strong interpersonal skills, relationship building and influencing skills and ability to effectively partner with all levels of management across numerous teams to help drive the cross-border agenda
  • Demonstrated superior problem solving and decision-making skills. The candidate must be able to identify issues, seek solutions and gain (near) consensus regarding outcome.
  • Strong capacity to handle a wide range of diverse tasks and responsibilities simultaneously while maintaining high-quality output
  • Ability to demonstrate personal initiative, ownership and accountability 
  • Strong analytical thinking, attention to details and problem-solving capabilities. 
  • Strong oral and written communication and presentation skills with the ability to convey complex regulatory concepts clearly to both stakeholders and top management.
  • Ability to work independently, collaboratively with cross-functional teams and understand when to seek advice or guidance from peers or management 
  • Fluent (written and oral) in English; French or German will be an advantage
  • Excellent working knowledge of MS Office tools
  • Swiss domiciled

Our Maison’s DNA is defined by five core values. Excellence drives us to be the best at what we do, while Innovation fuels our progress. Respect underpins every interaction, and Integrity shapes our actions. Together, we are One Team, united in serving our clients with unwavering dedication.

As a responsible and supportive employer, we promote a diverse and inclusive work environment for our employees and candidates. Diversity, Equity and Inclusion are woven into the fabric of our Maison’s DNA, and we strive to ensure that our employees can fulfill both their personal and professional aspirations by encouraging internal mobility and individual upskilling programs. We firmly believe that building Diverse Teams contributes to our successes and to deliver on this, we actively embed Diversity, Equity and Inclusion in our business strategy.

It is an exciting time to join our Teams. All applications will be handled in the strictest confidence.

Skills Required

  • More than 7 years' experience in Banking and Finance (Risk, Compliance, or Audit)
  • Strong understanding of regulatory practices and risk management
  • Ability to work in a fast-paced, pressured environment
  • Strong interpersonal, relationship building and influencing skills
  • Demonstrated problem solving and decision-making skills
  • Ability to handle diverse tasks simultaneously while maintaining high-quality output
  • Personal initiative, ownership and accountability
  • Strong analytical thinking, attention to detail
  • Strong oral and written communication and presentation skills
  • Fluent written and oral English
  • French or German language skills
  • Excellent working knowledge of MS Office tools
  • Swiss domiciled
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The Company
HQ: Geneva
3,027 Employees
Year Founded: 1796

What We Do

For over 225 years, Lombard Odier has focused on its central mission: to build strong, long-lasting client partnerships based on expertise, trust and care. Our Group strives to create sustainable value for private and institutional clients, combining leading investment solutions with stability and a robust balance sheet. Our unwavering commitment to the long-term interests of our clients is underpinned by our independent partnership model as our Firm is solely owned by our Managing Partners. We are guided by one key philosophy: rethink everything®. We constantly rethink the world around us to provide a fresh investment perspective for our clients. By offering a comprehensive suite of services, from discretionary and advisory portfolio management to wealth planning and custody, we offer our clients quality, bespoke solutions. Our cutting-edge banking technology not only sets industry standards, but also serves as a beacon for Swiss and European private banks and financial institutions. At Lombard Odier, we are convinced that the transition to a net-zero, nature-positive economy will be the most profound economic transformation of all time. Our role is to help our clients navigate this major shift by identifying related investment opportunities. Headquartered in Geneva with offices on five continents, we are guided by a team of around 3000 dedicated professionals who continue to shape the future of global wealth management.

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