Quantitative Risk Reporter – Funds & Derivatives (Remote)

Y-Axis

Zürich

Hybrid

CHF 120.000 - 170.000

Vollzeit

vor 19 Stunden
Sei unter den ersten Bewerbenden
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Zusammenfassung

coni + partner ag, headquartered in Zurich, seeks a Quantitative Analyst Risk Reporting to ensure risk reporting for investment products, including derivatives, for the Executive Board and the Risk Committee. The role focuses on maintaining reporting tools, improving processes, and controlling market, credit and operational risks within banking activities.

Ideal candidates hold a Master’s degree, with asset management and risk reporting experience; strong Python/SQL skills; and fluency in

Qualifikationen

  • Master’s degree in a relevant field.
  • Professional experience in asset management or risk consulting.
  • Strong understanding of market risk, derivatives and banking risk.
  • Programming skills in Python and SQL; proficiency with Excel/VBA.
  • English and German language skills are appreciated.

Aufgaben

  • Ensure accurate risk reporting for investment products and derivatives for the Executive Board and Risk Committee.
  • Maintain and improve reporting tools and processes to ensure timely, accurate reporting.
  • Assess risks embedded in products and coordinate with Legal, Accounting and other functions.
  • Support regulatory compliance and risk management across reporting platforms.

Kenntnisse

Python
SQL
Excel/VBA
English
German

Ausbildung

Master’s degree

Tools

Access

Jobbeschreibung

coni + partner ag, headquartered in Zurich, seeks a Quantitative Analyst Risk Reporting to ensure risk reporting for investment products, including derivatives, for the Executive Board and the Risk Committee. The role focuses on maintaining reporting tools, improving processes, and controlling market, credit and operational risks within banking activities.

Ideal candidates hold a Master’s degree, with asset management and risk reporting experience; strong Python/SQL skills; and fluency in

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