Nejo Logo
Jobs finden
nach Anstellungsart

Finde Jobs nach Arbeitszeit

  • Geringfügige Jobs
  • Teilzeit Jobs
  • Lehrstellen
  • Praktikumsplätze
nach Stadt

Jobs in deiner Nähe finden

  • Jobs in Wien
  • Jobs in Graz
  • Jobs in Linz
  • Jobs in Salzburg
  • Jobs in Innsbruck
nach Beruf

Erkunde Jobs nach Berufsfeld

  • Fahrer Jobs
  • IT Jobs
  • Feuerwehr Jobs
  • Hausmeister Jobs
  • Vertrieb Jobs
nach Erfahrungslevel

Jobs passend zu deiner Erfahrung

  • Quereinsteiger Jobs
  • Berufseinsteiger Jobs
  • Manager Jobs
nach Arbeitsweise

Wähle deine bevorzugte Arbeitsweise

  • Remote Jobs
  • Home Office Jobs

Treasury Risk Controller - Pfandbriefbank 100%(m/w/x)

BJB Bank Julius Baer & Co. Ltd.
Zürich

You manage and optimize the mortgage collateral pool while assessing risks and ensuring compliance. Your role involves communicating with key stakeholders and conducting data analysis to improve efficiency and profitability.

Anforderungen

  • •University degree in relevant field
  • •At least 3 years in financial sector
  • •In-depth knowledge of financial markets
  • •Strong analytical skills
  • •Excellent communication and presentation skills

Deine Aufgaben

  • •Monitor and manage the mortgage collateral pool.
  • •Assess creditworthiness and market value of mortgages.
  • •Identify and analyze risks in the collateral pool.
  • •Minimize credit, market, and liquidity risks.
  • •Develop strategies to optimize the collateral pool.
  • •Implement processes to improve collateral efficiency.
  • •Communicate with Treasury, Credit Risk, and Finance.
  • •Ensure compliance with laws and regulations.
  • •Oversee covered bond processes and standards.
  • •Conduct data analyses and prepare reports.
  • •Provide recommendations for collateral improvements.

Original Beschreibung

# Treasury Risk Controller - "Pfandbriefbank" 100% (f/m/d) **Zurich** | **Full time** Market & 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. ## YOUR CHALLENGE * Collateral Pool Management: Monitoring and managing the pool of mortgages as collateral, including the ongoing assessment of the creditworthiness and market value of the mortgages * Risk Management: Identifying, analysing, and minimizing risks associated with the collateral pool, such as credit, market, and liquidity risks * Collateral Pool Optimization: Developing and implementing strategies to optimize the collateral pool and the end-to-end process to improve the efficiency and profitability of collateral utilization and general handling * Stakeholder Communication: Communicating with internal and external parties, such as Treasury, Credit Risk Management, and Finance, to ensure that all requirements are met, and the program remains successful * Compliance and Regulatory Requirements: Ensuring that all activities comply with relevant laws, regulations, and industry standards, particularly regarding covered bond oversight and processes * Data analysis and reporting: Conducting data analyses and preparing reports to assess the value and quality of the collateral pool and to provide recommendations for improvements ## YOUR PROFILE * University degree (or similar) in a relevant field such as finance, economics, mathematics, or business administration * At least 3 years of experience in the financial sector, ideally in a role focused on risk management, structured finance, or asset management. Experience in collateral pool management is an advantage * In-depth knowledge of financial markets, credit instruments, risk management practices, and regulatory requirements related to covered bonds or similar financing instruments * Strong analytical skills to analyse complex financial data and make informed decisions * Excellent communication and presentation skills to explain complex information to diverse audiences
Lade Jobdetails..
Über UnsProdukteKontaktImpressumDatenschutzNutzungsbedingungenCookie-Einstellungen
© 2025 Nejo
© 2025 nejo jobs