Beschreibung
For a project at our client ‘s site, an international bank based in Zurich, we are looking for a motivated
Valuation Risk Controller
In this role, you will be facing infrastructural challenges which you will need to resolve within tight deadlines. You will have to work on Intra Month Balance Sheet project by improving the fragmented front-to-back infrastructure and independent price verification process.
Your Qualifications:
- Motivated Financial Analyst / Valuation Risk Controller with project management skills, banking background preferred
- At least 5 years of financial products, financial modelling, and valuation technique knowledge
- Experience in R and Python would be an asset
- Previous independent Price Verification experience would be an asset
- Certification in FRM (Financial Risk Manager) or CFA (Chartered Financial Analyst) is an advantage
- Degree in Financial Mathematics or similar subjects
- Fluent in English, good knowledge of German would be a plus
Your Responsibilities:
- Providing insight into valuation practice of a broad range of product classes, including FX, Rates, Equities, Commodities, and Credit
- Contribution to Intra Month Balance Sheet project by improving front-to-back infrastructure and independent price verification process
- Participation in the monthly independent price verification process, i.e. price testing of the GTS and Treasury fair value inventory
- Supporting valuation aspects of key complex tools and strategic systems development and implementation
- Close collaboration with Group Finance, Finance Change, Trading, Quant Strats, and Risk Management
Off to new destinations! Apply now directly on or contact our team on .