Credit Suisse is a leading global wealth manager with strong investment banking capabilities.
Headquartered in Zurich, Switzerland, we have a global reach with operations in about 50 countries and employ more than 45,000 people from over 150 different nations.
Embodying entrepreneurial spirit, Credit Suisse delivers holistic financial solutions to our clients, including innovative products and specially tailored advice.
Striving for quality and excellence in our work, we recognize and reward extraordinary performance among our employees, provide wide-
ranging training and development opportunities, and benefit from a diverse range of perspectives to create value for our clients, shareholders and communities.
We are Credit Suisse.
You will actively follow developments and be up to date with new requirements; Liaising with involved parties (e.g.
In this role, you will report directly to Head of Product Risk Management &Monitoring; You Offer Are you able to communicate effectively with partners within and outside of the organisation?
Have you got a university degree in Finance or equivalent post graduate studies? Do you possess strong implementation skills with the ability to provide ad hoc solutions in a timely manner?
Deep understanding of risk management best common used practice approaches; Are you familiar with fund product, risk management, investment management strategies and their use in client portfolios?
Advanced derivative knowledge, valuation, applications, integration as well as arbitrage concepts; Solid knowledge of financial instruments and their relevant regulatory requirements and compliance approaches with focus on Lux Funds.
Experienced user of MS Software, good knowledge of market information systems (e.g.
Partnering mindset with the capability to work well independently as well as part of the team; Credit Suisse is an equal opportunity employer.
Welcoming diversity gives us a competitive advantage in the global marketplace and drives our success.