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An exciting and dynamic private banking credit risk role within the International Wealth Management Division (IWM) based in Zurich
Close cross-functional teamwork and interaction and internal partners such as Relationship Managers, Lombard Origination, Sales and Trading, Legal and Compliance
Assessment and approval of collateralized (Lombard) transactions in the Ultra High Net Worth Individuals (UHNWI) segment
Credit analysis to include the full range of risk assessment such as exposure, collateral (e.g. single stock lending and risk concentrations across all asset classes and derivatives) and transactions featuring non-standard counterparty types or bespoke (cross-pledge) credit structures along with Legal, Cross-Border and Reputational Risk considerations
Independent management and monitoring of a portfolio of UHNWI offshore clients of a dedicated Private Banking Market Area
Active involvement in a wide array of risk-related projects and New Business Initiatives within an international environment and attractive possibilities for professional development
Bachelor or Master in Economic Science, Business Administration or Banking and Finance; CFA, FRM or GARP qualification is a plus paired with at least 5+ years of working in Credit Risk Management of Securities-Backed Lending or Corporate Banking including sound knowledge of derivatives
Passion for financial markets, good understanding of asset allocation and asset classes
Prior experience as leader of or specialist in risk-related projects
Distinctive analytical skills matched with confident communication skills interacting with demanding partners!
Do you have a high level of motivation and ability to work autonomously combined with a strong service delivery mentality and are proficient in English, good German and further language skills would be an advantage?
Mr. M. Payer (HLOF 44) would be delighted to receive your application. Please apply via our career-portal.