Interim Investment & Risk Analyst

Michael Page International (Switzerland) SA

Basel

Vor Ort

CHF 90.000 - 110.000

Vollzeit

14 Tage+
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Zusammenfassung

Michael Page International (Switzerland) SA in Basel is seeking an Investment/Risk Analyst for a 6-month contract to support P&L control and risk analytics.

You will analyse profitability drivers across a broad portfolio of financial instruments, prepare concise management reporting and develop data products and dashboards using Python and Tableau, collaborating with finance, risk and business functions.

Qualifikationen

  • 4+ years of experience as an Investment Analyst, Risk Analyst, Market Risk Analyst, Quant Analyst or similar.
  • Strong understanding of financial instruments, including derivatives.
  • Sound knowledge of valuation methodologies and profitability measurement concepts.
  • Excellent Python programming skills with experience in analytics and automation.
  • Proven ability to analyse and improve business processes and underlying business logic.
  • Strong analytical and problem-solving capabilities.
  • High attention to detail with a structured and accurate working style.
  • Excellent communication skills with the ability to present complex topics clearly to senior stakeholders.
  • Experience with dashboards, data viz tools (e.g. Tableau) or analytical product development is advantageous.
  • Exposure to front-office systems and trading environments is beneficial.

Aufgaben

  • Support daily P&L control activities and investigate valuation or reporting issues
  • Analyse profitability drivers and risk exposures across a broad portfolio of financial instruments
  • Prepare concise management reporting and provide actionable business insights
  • Identify opportunities to improve and automate business processes using modern technologies
  • Develop, maintain and enhance analytical tools, dashboards and data products
  • Collaborate closely with stakeholders across finance, risk and business functions
  • Contribute to data-driven decision-making through robust analysis and reporting

Kenntnisse

Python
Analytics
Automation
Communication
Problem-solving

Tools

Tableau

Jobbeschreibung

  • Drive P&L, risk analytics and business process improvements
  • Build data products that influence key business decisions
About Our Client

Our client is a well-established financial services organisation with a strong focus on risk management, analytics and innovation. This 6-month contract assignment is available for an immediate start and offers the opportunity to work closely with experienced professionals in a collaborative and business-critical function.

Job Description
  • Support daily P&L control activities and investigate valuation or reporting issues
  • Analyse profitability drivers and risk exposures across a broad portfolio of financial instruments
  • Prepare concise management reporting and provide actionable business insights
  • Identify opportunities to improve and automate business processes using modern technologies
  • Develop, maintain and enhance analytical tools, dashboards and data products
  • Collaborate closely with stakeholders across finance, risk and business functions
  • Contribute to data-driven decision-making through robust analysis and reporting
The Successful Applicant
  • 4+ years of experience as an Investment Analyst, Risk Analyst, Market Risk Analyst, Quant Analyst or similar
  • Strong understanding of financial instruments, including derivatives
  • Sound knowledge of valuation methodologies and profitability measurement concepts
  • Excellent Python programming skills with experience in analytics and automation
  • Proven ability to analyse and improve business processes and underlying business logic
  • Strong analytical and problem-solving capabilities
  • High attention to detail with a structured and accurate working style
  • Excellent communication skills with the ability to present complex topics clearly to senior stakeholders
  • Experience with dashboards, data visualisation tools (e.g. Tableau) or analytical product development is advantageous
  • Exposure to front-office systems and trading environments is beneficial
What's on Offer
  • Immediate start on a business-critical assignment
  • Exposure to a dynamic financial markets environment
  • Opportunity to shape analytical and reporting capabilities
  • Close collaboration with experienced risk and finance professionals
  • High visibility with senior stakeholders and decision-makers
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