
Posted 3 days ago
Quantitative Analyst Asset Management
AI Summary
A quantitative analyst in asset management ensuring accurate and timely risk reporting for investment products, reviewing market risk and regulatory requirements, and supporting optimization of reporting tools and processes.
About this role
coni + partner, established 1993, is a consultancy company with headquarter in Zurich and subsidiaries in Düsseldorf and Shanghai. We are specialised in custom-fit staffing in tune with the corporate culture by ensuring a perfect match of professional skills, references and personal as well as social skills of successful candidates.
Our client is the asset management of an international bank in Zurich. We are looking for a 'quant' professional (m, f, d)
as
Quantitative Analyst Asset Management
Aufgaben
Ensure appropriate risk reporting for investment products including derivatives related to trading and treasury activities / Report of results to the Executive Board and the Risk Committee / Maintain and improve reporting processes to ensure timely, efficient and accurate reporting / Ensure appropriate product review by functions e.g. Legal, Accounting / Assess risks embedded in products / Review market risk assessment performed by trading and treasury / Prepare risk assessment reports for various committees / Control market, credit and operational risks included in banking activities / Control of financial instrument models and reconciliation of data to ensure accuracy of reports / Ensure the functionality and optimization of the reporting tools, including standardization of processes / Support the network's technical teams with risk management expertise / Control of regulatory requirements in accordance with the risk strategy and regulatory requirements / Project management to optimize the department's tools, processes and systems.
Qualifikation
Master’s degree / Understanding statistics as well as economic and accounting issues / Professional experience in asset management at a bank, with a fund manager or as an external risk consultant or fund auditor in a “Big Four” company / Good understanding of capital market products (derivatives and structured products) and of the financial market / Understanding banking risk / Statistical background / Experience in financial analysis inclusive P&L elements / Experience with valuation of financial products / Knowledge of market risk / Knowledge of using markt data of Bloomberg, Morningstar, Thomson Reuters, SIX etc./ Programming skills with Python and knowledge in the use of Access or SQL / Good command of Microsoft Excel and VBA / Analytical and critical mindset / Structured work style / Ability to work and prioritize under pressure / Team-oriented with good communication skills / English and German, both would be appreciated.
For an initial contact, please send us your documents by e-mail to contact@coni-partner. com or call us on +41 44 254 90 10. Mr. Ivano Coni is responsible for your application. Your documents will be treated in strict confidence.
coni + partner ag
Ivano Coni
Managing Director
Klosbachstrasse 107
CH-8032 Zürich
Tel.: +41 44 254 90 10
Skills
Explore related jobs
More jobs at coni+partner AG
Specialist Tax Reporting FATCA, QI / CRSZürich, Switzerland
Specialist Tax Reporting GermanyZürich, Switzerland
Specialist US Tax - Fund OperationsFrankfurt am Main, Germany
Tax Lawyer UCITS FundsLondon, United Kingdom
Legal Counsel US Tax / Private EquityLuxembourg, Luxembourg
(Junior) Paralegal / Compliance Asset ManagementZürich, Switzerland
Similar Access jobs
Jobs in Zürich
Senior Observability Platform Engineer (80-100%)Open Systems AG · Zürich, Switzerland- Product Owner Custom Solutions (60-100%)VSHN AG - The DevOps Company · Zürich, Zürich
- Commercial Growth Lead (100%)Climeworks · Opfikon, Zurich
- Commercial Growth Intern (100%)Climeworks · Zurich, Zürich
IT Auditor CISA / Bankconi+partner AG · Zürich, Switzerland
Paralegal / Compliance Service Fund Operationsconi+partner AG · Zürich, Switzerland