Position: Entry level

Job type: Full-time

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Job content

Function/Position objectives

Responsibilities
  • Production and analysis of periodical reports for the Trading and Treasury department and the management.
  • Identification, monitoring and reporting of risks implied in the banks activities (Trading, Treasury).
  • Review and validation of valuation models for financial instruments.
  • Reconciliation tasks ensuring the data integrity of the reported results.
  • Development and maintenance of the reporting tools.
  • Preparing analyses and reports for different committees.
Profiles
  • At least a Master’s university degree in economics/finance/mathematics or equivalent.
  • 2-5 years of professional experience preferably in the banking industry (risk, finance).
  • Solid banking risk and finance background, very good knowledge of financial instruments including derivatives and structured products, experience with risk models and valuation of financial products.
  • Very good knowledge of a bank’s balance sheet and profit and loss elements.
  • Very good command of English (spoken and written), German would be appreciated.
  • Analytical and critical thinker with perfect command of Microsoft Excel, experience with VBA for Excel and SQL would be appreciated.
  • Permanent full time position based in Basel, available immediately or with short notice period, regular travels between Basel, Geneva and Zurich to be expected.
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Deadline: 08-06-2024

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