Stellenangebot

SENIOR TREASURY MARKETS TRADER

Leonteq sucht einen Senior Treasury Markets Trader, der das Investitionsportfolio steuert und Marktrisiken in den Bereichen Zinsen, Kredit, Währungen und Devisen aktiv managt. Die Position erfordert mindestens fünf Jahre Erfahrung im Treasury und Markets sowie fundierte Kenntnisse in Asset & Liability Management.

ABOUT THE ROLE

At Leonteq, we are a leading player in the financial industry, renowned for our innovative approach and entrepreneurial spirit. Our organizational values people together, passion, dedication, quality and be entrepreneurial are our guiding north star

WHAT YOU'LL DO:

  • Manage and actively steer the firm's investment portfolio, balancing liquidity, yield, credit risk and capital efficiency
  • Develop and implement investment strategies and portfolio positioning across fixed income asset classes
  • Monitor and analyze market developments, relative value opportunities, and portfolio risks to optimize and hedging strategies
  • Manage and execute Treasury trading related market risks, including interest rate, credit spread, currencies, and foreign exchange risks
  • Contribute to the funding and yield curve management, ensuring appropriate reflection of market conditions in sheet statement balance
  • Assess and manage risks arising from structured products and derivatives, including their impact on balance sheet positioning and balance
  • Provide in-depth market, portfolio, and risk insights to senior management and hedging counterparties
  • Manage relationships with global banks, lenders, and other market counterparties
  • Work closely with senior Treasury, Trading, Sales, Structuring, Risk, and Finance stakeholders to develop business strategies and ensure trading activity complies with our policy objectives

WHAT YOU'LL NEED:

  • 5+ years' experience in Treasury and markets, including fixed income, Credit, FX, and rates
  • Proven ability in migrating investment views into portfolio positioning with complete portfolio strategies
  • Excellent analytical and quantitative skills with the ability to work with complex portfolio data
  • Deep understanding of Asset & Liability Management, balance sheet strategies, liquidity and funding requirements
  • Independent and highly structured approach to problem solving, combined with strong analytical mindset
  • Ability to combine strategic portfolio thinking with hands-on risk management and trade execution
  • Proficiency in Python and other data-analysis tools is a plus; phubability to work under pressure
  • Strong communication and relationship-management skills
  • Commercial, proactive and entrepreneurial mindset
  • Strong interest in global financial markets and macroeconomics

NICE TO HAVE

  • Additional language skills

WHY YOU'LL LOVE WORKING HERE

  • Experience the dynamism of a leading fintech company
  • Insight opportunities across all departments to understand and build know-how in the mechanics of the financial chain
  • Modern offices in exceptional location

Jobdetails

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