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A career at the Lombard Odier Group is something to be proud of. Our mission is to protect and grow our clients’ wealth - but not by any means necessary. Sustainability is at the heart of everything we do and we treat our clients’ wealth as if it were our own. We protect our clients’ assets for the long-term using expertise and innovation, all underpinned by our Rethink Everything philosophy. Our colleagues are the foundation of our success. We employ people at different life stages, from graduates to executive level leaders. The one thing they all have in common is that they seek to challenge the status quo, are imaginative and have the ability to offer a fresh perspective.
At Lombard Odier, sustainability is our core philosophy. Representing the next economic revolution, it is our conviction that sustainable investing is the way to generate long-term returns and grow our clients’ prosperity in perpetuity. Sustainability, via the transition to a circular, lean, inclusive and clean (CLICTM) economic model, is therefore central to Lombard Odier’s approach to its business and investment philosophy. We believe this ‘sustainability revolution’ has already become one of the most important drivers of risk-adjusted returns today. Will you be part of it?
Lombard Odier Investment Managers (“LOIM”) is the asset management business of the Lombard Odier Group. In order to strengthen our Operations team, we are looking for a:
Treasury Analyst
About the role:
As a Treasury Analyst, you will be part of the Treasury platform and work closely with operations, trading and investment teams in Lombard Odier Investment Managers (LOIM).
How will you make an impact at LOIM:
You will be optimizing the Hedge and Long Only funds cash/securities positions and relationship with third parties.
More specifically, the role will include:
  • Increasing investment returns by recommending strategies and policies that benefit both the Funds and their customers.
  • Managing day-to-day activities of the treasury function to meet the financial obligations of the Funds.
  • Overseeing cash and liquidity management through cash flow planning and forecasting.
  • Allocating cash balances and maintaining investment records accordingly.
  • Preparing expense and earnings forecasts.
  • Ensuring policies and procedures meet the organization’s objectives, needs, and regulatory body requirements.
  • Driving treasury-specific projects/initiatives.
  • Promoting global expansion, manage relationships with prime brokers and make strategic judgments about their performances, fees and account structures.
  • Depending of the current workload and attendance, a helping hand in the derivatives support business unit may be required from time to time.
The skills you will demonstrate:
  • Minimum total experience of 2-5 years in a Banking Industry – Asset Management a plus.
  • Strong written and verbal communication skills.
  • Creative thinker with a can-do attitude.
  • Strong collaboration and relationship skills.
  • Strong organizational skills and attention to detail.
  • Solution-oriented explaining issues clearly and contributing to solutions.
  • University degree or equivalent.
  • Fluent in English a requirement, French a plus.
  • Authorisation to work in Switzerland.
If you recognise yourself in this description, then please do apply. We look forward to hearing from you.
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Deadline: 29-05-2024

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