An exciting and dynamic private banking credit risk role for selected, higher volume and more sophisticated derivatives trading clients and lending to operating companies abroad, both on a collateralized basis (Lombard), within the Risk organization based in Zurich
Close cross-functional teamwork and interaction with internal partners such as Relationship Managers, First line of Defense Lombard Origination and Risk function, Sales and Trading Legal and / or Compliance
Underwriting of collateralized (Lombard) transactions mainly in the Ultra High Net Worth Individuals (UHNWI) segment with focus on collateralized lending to operating companies and / or the highly specialized derivative trading clients.
Credit analysis to include the full range of risk assessment such as exposure, collateral (e.g. 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 the assigned client portfolio, relevant markets and pro-active development of risk management solutions such as scenarios
Active involvement in a wide array of risk-related projects and New Business Initiatives within an international environment
A role, which offers an international career and attractive possibilities for professional development, including in-house education, along with internal mobility opportunities!
Master in Economic Science or Banking & Finance, with a minimum of 5 years of transactional banking experience within corporate / private / investment banking / trading and a broad knowledge of capital markets, a CFA or GARP qualification would also be helpful
Experience in holistic risk analysis with ideally previous experience in corporate analysis and expert knowledge in derivatives covering both assessment on client and transactional level, as well as methodology and analytical understanding at a portfolio and product level
Passion for financial markets, good understanding of asset allocation and asset classes
Prior experience in risk-related projects
Distinctive analytical skills matched with confident communication skills interacting with demanding partners
Are you a dedicated problem solver with a positive can-do attitude?
You are proficient in English, any further language skills specifically German - would be an advantage!
LI-CSJOB*Mr. M. Payer would be delighted to receive your application. Please apply via our career portal. Credit Suisse is an equal opportunity employer.
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