Market Risk Controller
juliusbaer · Zurich
Description du poste
About the role
Join Julius Baer as a Market Risk Controller to develop and maintain the valuation adjustment risk management framework, collaborating with Model Validation, Product Control, and Finance to ensure robust and compliant risk methodologies.
Key responsibilities
- Develop and adapt current risk models and frameworks to meet the evolving needs of Front & Trading units.
- Produce daily market risk reports and communicate risk insights to senior management.
- Assess new products during the approval process and review trading positions and hedging strategies.
- Develop and maintain market risk control IT applications.
- Participate in regulatory, trading‑space, and group‑wide projects.
Required profile
- Higher university degree in a quantitative discipline such as Physics, Mathematics, Engineering, Econometrics or Quantitative Finance.
- Several years of experience in a trading environment (market risk, valuation control, model validation or trading).
- Deep knowledge of financial markets, products and their representation in trading systems.
- Experience with front‑trading applications like Front Arena or Murex.
- Strong analytical skills, initiative, responsibility, and ability to work both independently and in a team.
- Excellent communication skills up to senior‑management level.
Required skills
- Front Arena
- Murex
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juliusbaer
Zurich
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