We Offer The Risk Division is a highly visible, dynamic area of the firm where you can be an integral part of the decision making that supports the bank's business. Our responsibilities range from Enterprise Risk management to risk and finance reporting, and regional risk teams covering the risk management for our entities. The Risk division's long-term success depends on our ability to achieve our vision and fulfil our mandate. Ultimately, this depends on the skills, experience and engagement of our employees. We offer a collaborative and entrepreneurial environment that offers direct contact with senior management and encourages leadership at all levels.
The position is within the Market Risk Management team of Credit Suisse where the team covers the Asset Resolution Unit (ARU) trading activities of the Bank. ARU manages and trades assets originating from all asset classes (Rates, FX, Life Finance, Securitized products, Emerging Markets, Traded Credit, etc.).
The team performs risk control, limit setting, trade approval, and insight into the capital usage, regulatory input, senior management briefing and deep dive into risk.
The position is based in London. The role will have a particular focus on the traded Rates/FX exposures within ARU as well as the Life Finance products.
The role provides an interesting opportunity to gain exposure to a variety of products, and offers an excellent exposure to capital calculation and impact of new regulatory capital regime.
The role would be an excellent opportunity to start a career into a risk management for a junior trader and/or to gain extensive products knowledge for a junior risk manager looking to expand his width of knowledge.
The role will also offer cross-exposure to the Enterprise Risk world.
We want you to contribute your interpersonal skills to our team.
Open to discussing flexible/agile working.
Strong experience into the financial industry. Ideally from a trading, structuring, quantitative analysis, market risk or enterprise risk management background.
Preference will be given to candidates with a technical background in at least one of the following asset classes (IR, FX, Life Finance or Traded Credit).
The successful candidate needs to have strong analysis and quantitative skills, to be details oriented, to have strong communication skills, communicate concisely and needs to be able to cope with pressure and with deadlines.
Quantitative education, ideally in financial mathematics or economics. MSc (or Phds) from a leading university are a plus or equivalent experience.
Needs to be able to do basic coding.
Competitive Salary Offered Closing date 14th June 2019
Credit Suisse is committed to providing equal employment opportunities, regardless of ethnicity, nationality, gender, sexual orientation, gender identity, religion, age, civil partnership, marital or family status, pregnancy, disability or any other status that is protected as a matter of local law.
Internal Number: 5831354
About Credit Suisse -
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