RAJ
Verified from SwissPeak Partners GmbH's careers page · Recruitee

Investment Risk & Performance Analyst

SwissPeak Partners GmbHBasel, Basel-Stadt, Switzerland5 YearsPosted Sep 11, 2026

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About this role

We are currently looking for an experienced Risk & Performance Specialist to join a growing Asset Management environment. In this role, you will combine portfolio risk analysis, performance measurement and data-driven insights to support investment professionals in understanding portfolio behaviour, risk exposures and sources of investment performance. You will work closely with portfolio management and other investment-related functions and contribute to high-quality analytics and reporting across a broad range of asset classes. Location: Basel Responsibilities & Tasks • Perform independent ex-ante and ex-post portfolio risk analyses across equity, fixed income, multi-asset and alternative investment strategies • Monitor and assess key portfolio risk indicators such as Value at Risk (VaR), Tracking Error, factor exposures, concentration risk and liquidity risk • Prepare performance attribution and contribution analyses to identify the main drivers of portfolio returns • Translate complex risk and performance data into clear insights for portfolio managers, senior stakeholders and other relevant parties • Work closely with Portfolio Management, Investment Compliance and Operations to ensure reliable data and consistent reporting • Investigate data inconsistencies and contribute to maintaining high standards of data quality • Support the continuous improvement of risk and performance analytics tools, processes and methodologies • Contribute to the automation and further development of analytical and reporting solutions Requirements & Qualifications • University or comparable higher education degree in Finance, Economics, Quantitative Finance or a related discipline • At least 5 years of professional experience in areas such as Investment Risk, Performance Analysis, Portfolio Analytics, Investment Analysis or Investment Products • Strong professional background within Asset Management / Investment Management • Practical experience with professional portfolio and risk analytics platforms such as Bloomberg PORT Enterprise, MSCI Risk Analytics / MSCI Risk Suite, Morningstar Direct or comparable solutions • Strong knowledge of portfolio risk and performance concepts, including VaR, Tracking Error, factor analysis and performance attribution • Hands-on experience with Python and SQL • Strong analytical mindset combined with a high level of accuracy and attention to detail • Ability to communicate complex quantitative findings clearly to both technical and investment-focused stakeholders • Professional fluency in English • German language skills are an advantage but not required • Certifications such as CFA, FRM, CAIA or CIPM are considered an advantage

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