Function / Position
objectivesProvide legal and compliance support with a focus on asset management, advisory and distribution of collective investment schemes as a member of the Legal & Compliance Products & Trading teamResponsibilities
Provide legal and compliance support with a focus on investment advisory and portfolio management services, structured products and the distribution of collective investment schemes including :
draft, review and negotiate a broad range of commerial contracts including distribution and client service agreements;
create and revise internal and external legal documentation, directives, standard contracts and terms & conditions;
answer regulatory, governmental and other enquiries;
support projects related to the Bank's products and services;
analysis and monitoring of legal and regulatory developments.
Master of Law (or lic. iur.) from a Swiss university and admission to the Swiss bar
Minimum of 6 years of post-graduate legal experience in a Swiss bank or in a Swiss or international law firm with experience in banking related issues with a focus on portfolio management, investment advice and investment products;
Familiarity with FINSA, CISA and MIFID.
Experience in credit matters are appreciated.
Excellent command of English and German (verbally an in writing), additional Swiss language(s) would be an asset
Strong business and legal judgment and commercial attitude
Analytical approach to identifying and practical approach to solving issues
Ability to successfully interact with executives as well as staff
Activity rate100 %