Stellenangebot

Singapore Credit Officer, Derivatives Competence Centre

Julius Baer sucht einen Credit Officer für das Derivatives Competence Centre in Singapur, der sich mit Kreditrisikomanagement, Derivaten und Markt Risiken befasst. Die Position erfordert umfangreiche Erfahrung im Finanzsektor sowie starke analytische Fähigkeiten zur Unterstützung von Kundenanfragen und Risikobewertungen.

Aufgaben

  • Partner closely with Relationship Managers and product asset managers to facilitate client requests as well as managing and mitigating deal credit risks
  • Maintain a healthy dialogue with internal cultures and ensure policy settings for sophisticated overall portfolio
  • Manage counterparties' net exposures, limit management, and
  • Provide expert advice on credit-related credit risk and the management of derivative transactions
  • Support understanding of OTC and equity FDs' risks, derivatives transactions
  • Oversee and manage credit risk linked product trading in various products covering large trading clients with proprietary risk profiles
  • Working on expert teams, as a role model plays a critical role in providing advisory opinion and support in the risk position on credit lines
  • Build trusted relationships with Credit Officers, Legal department, Risk and business partners
  • Support transactional execution through close collaboration with internal stakeholders
  • Manage relationship with Credit Officer at an operational level, providing timely and relevant information
  • Communicate risk recommendations clearly and ensure information is passed down the chain
  • Contributes to projects linked in risk methodologies, infrastructure, and project estimations
  • Support the implementation of credit risk and capital adequacy improvements
  • Participate in strategic initiatives involving investment systems, collateral management, and risk management
  • Collaborate with regional and global teams to drive best practices across the organization
  • Demonstrate appropriate attitude when behaviors including but not limited to standards and codes of conduct, use of data for governance, for dealing business transactions risks, management of conflicts of interest, compliance and continuous development, adequate management, and compliance with applicable rules and regulations

Anforderungen

  • Experience in credit risk, X.A pricing, team ratio, or similar disciplines
  • Strong analytical skills and problem-solving capabilities
  • University degree in a business discipline
  • 10 years years and industry experience
  • CFA or CFA equivalent qualifications
  • Understanding of underwriting, client management and training.
  • Exposure to complex options, stock derivatives, and trading platforms such as Bloomberg, Reuters etc. in similar business environments
  • Strong team players who work effectively in a cross-functional team with diverse functions

Wir bieten

  • Multiple training opportunities for you from a comprehensive product and sales know-how perspective
  • Strongly focus on business partnerships, integrity for market risks, and a reliable customer-centered experience solution

Jobdetails

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