zeb.rolfes.schierenbeck.associates gmbh is a modern finance industry leader focusing on regulatory strategies and consulting. The role is based in Zurich and operates in a dynamic work environment with growth opportunities.
Support clients in developing and implementing regulatory strategies and solutions. Analyze the impact of new regulations on capital, liquidity, and compliance with supervisory expectations. Present findings and implications to international financial industry clients. Manage the interface with banking supervision, support identification of supervisory focus topics, and prepare clients for on-site inspections. Contribute expertise to develop tailored solutions for implementing complex new requirements such as CRR, BRRD, BCBS #239, and BIRD/IReF, from gap analyses to implementation programs. Develop innovative solution approaches in the team, write articles and studies, and develop standards for future regulatory topics such as optimizing regulatory processes or ESG requirements.
Successful university degree in economics (such as business administration or economics) or natural sciences (such as mathematics or physics). Initial experience with regulatory requirements of financial service providers through an internship, consulting work, the financial and insurance industry, or through training/dual studies in banking and insurance. Knowledge of common reporting solutions such as BAIS or Abacus is ideal but not required. Strong analytical and communication skills for solving complex problems. Fluent German (C1 level, business fluent) and good English skills (B2 level, fluent) in spoken and written form. Ability to inspire people and present ideas effectively.
Join a modern finance industry leader with a dynamic work environment and growth opportunities. Opportunity to develop and deepen your own knowledge and acquire new expertise in regulatory management. Hybrid work model. Access to international clients and experience with cutting-edge regulatory topics and solutions. Role as contact person for regulatory management offerings with exposure to banking supervision and supervisory processes.