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Market and Treasury Risk is responsible for risk controlling of all trading and treasury activities for Bank Julius Baer and Julius Baer Group. It assures transparency of incurred market risks, maintains an adequate risk limit framework and is responsible for the development of risk models and its adaptation to the changing needs. It is also responsible to maintain the market risk framework within the Group and assures compliance with all relevant laws, regulations and best practice.Controlling Capital Risk Management
Monitor exposures against tolerances defined by the BoD and ALMCO
Critically review, challenge, and provide inputs to the respective approval bodies on scenario selection and projection of selected balance sheet and P&L drivers with material impact on credit and market risks in the annual capital planning process
Critically review, challenge, and provide inputs to the respective approval bodies on projections made to determine remediating capital measures and their effectiveness. Support discussion of associated means with the regulator together with the 1st line of defence
Oversee and challenge capital risk management activity and control whether risk profile is in line with agreed strategy
Suggest and maintain a formalized control framework and corresponding policies
Orchestrates the 2nd line of defences activities and involves other functions (not limited to 2nd line of defences units) where deemed appropriate and required, to both bring-in relevant SME knowledge and assure holistic assessments
Recovery and Resolution Plan
Critically review, challenge, and provide inputs to the respective approval bodies on planning documents, early warning indicators, recovery thresholds, scenarios and recovery options to determine remediating measures and their effectiveness
Support discussion of associated means with the regulator together with the 1st line of defence
University degree (or similar) in a relevant field such as finance, economics, mathematics, or business administration
At least 5 years of experience in the financial sector, ideally in a role focused on risk management, treasury risk, capital risk, financial and capital planning
In-depth knowledge of financial markets, risk management practices, capital risk and capital planning, recovery and resolution planning and related regulatory requirements
Strong analytical skills to analyse complex financial data and make informed decisions
Excellent communication and presentation skills to explain complex information to diverse audiences
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