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A new position within the Global Credit Portfolio Management team driving analysis and understanding of credit risks within the portfolio of CS Group
Opportunity to contribute to credit portfolio analysis and challenge to the overall portfolio composition and profile across diverse risk dimensions (quantitative and qualitative)
A dynamic and collaborative working environment providing the opportunity to learn and develop understanding of credit risk from a broad perspective
The role provides for insight into a broad range of credit exposure types across private banking and investment banking products and covering both direct exposure and indirect exposure (collateral)
Interaction with credit portfolio managers and credit officers within the divisions as part of the ongoing assessment of credit risks
A chance to work in a high paced environment with high degree of focus and engagement with senior management
Completed (bachelors/ master) degree in a relevant discipline
Credit experience either on transactional or portfolio level, where understanding of credit risk measures and portfolio risk drivers is an advantage
Interest in broadening your horizons and looking at a wider product / counterparty set and considering portfolio level effects
Experience in evaluating the risk and return characteristics of credit exposure, including the evaluation and presentation to senior management thereof.
Ability to explain complex concepts in an accessible way
Strong analytical mind-set and skills - you are curious and want to dig into problems
Willingness to dig deep into data, and to overcome challenges with data quality and reporting, to build additional insights into the credit portfolio
You are a dedicated problem solver with a positive, empathetic personality and can-do attitude who loves to handle multiple meaningful priorities and assignments and has good communication skills in English (verbal and written)
Mr. M. Payer (HLOF 44) would be delighted to receive your application. Please apply via our career-portal.