Credit Risk Manager UHNW Client Solutions for International Wealth Management

We Offer
  • You a challenging Zurich-based position within the Ultra High Net Worth (UHNW) credit risk team of the International Wealth Management (IWM) division
  • A very multi-cultural environment in which you will be working independently or with highly dedicated and experienced senior credit officers as part of cross-functional deal teams. You have the opportunity to develop your personal and professional skillset even further
  • The responsibility for you to assess complex and non-standard collateralized finance transactions within this strategic client sector
  • This features non-standard counterparty types or bespoke structures and includes single stock lending, risk concentrations across asset classes, derivatives as well as secured facilities to non-Swiss operating companies
  • Credit analysis to include the full range of risk assessment - collateral, structural and recourse along with legal, cross-border and reputational risk considerations
  • A highly transactional role with exposure to a wide array of transactions presenting a clear opportunity for technical development
  • Sophisticated internal business model with wealth management credit risk, in many instances, handled via a Zurich trading book complete with hedging possibilities
  • Close collaboration with Trading, Structuring, Legal and Market Risk along with other functions in the Credit Risk organization
  • A unique platform for you to get exposure by presenting credit requests to your team head and senior management including the Chief Credit Officer International Wealth Management
  • Active involvement in risk-related project as well as attractive possibilities for professional development, including in-house education, along with internal mobility
  • A fast-paced and dynamic work environment supporting the expanding and strategically important IWM lending business

You Offer
  • Master in Economic Sciences or Banking & Finance, CFA or GARP qualification would also be beneficial
  • Minimum of five years of relevant experience in a credit risk function or relevant experience in another risk function in corporate/ private/ investment banking or credit analytics
  • Experience in risk analysis, including derivatives as well as previous experience in corporate analysis
  • Good knowledge of and interest in capital markets
  • Fluent in English, further language skills - specifically German - would be an advantage
  • Solid analytical and confident communication skills, coupled with a structured and pragmatic approach
  • You are a dedicated problem solver with a positive personality and can-do attitude

Mr. T. Baumgartner would be delighted to receive your application.
Please apply via our career portal.