Description

Our customer from the insurance industry now serves more than 1.4 million Swiss customers and therefore stands out as a brand! Become part of an international company based in Zurich and apply now for the role of Cross-Asset Structurer, Executive Director (m/f/d).
Your Responsibilities
  • Support the Team Head in managing team mandates, including resource allocation, mandate monitoring, and delivering analytical insights and model developments.
  • Design, structure, and support the implementation of complex cross-asset financial solutions (e.g., derivatives, structured notes, swaps, ABS, financing products).
  • Engage with internal stakeholders to understand client needs, present product ideas, and clearly explain product structures.
  • Assess and manage market, credit, operational, and legal risks associated with proposed structures, including reviewing legal provisions and coordinating cross-country alignment with Group Legal.
  • Conduct market and quantitative research, explore new asset classes and structuring techniques, develop investment decision tools (incl. back-testing), and drive product innovation.
  • Support derivatives regulatory requirements, monitor regulatory changes, ensure effective communication, and promote cost-efficient implementation of regulatory updates across the group.
Your Profile
  • Master's degree in Mathematics, Physics, Finance, or Economics and at least 10 years of relevant experience in structured finance, derivatives, or product structuring within financial institutions, ideally investment banks.
  • Ability to project confidence, communicate effectively, and persuasively interact with senior professionals.Ability to thrive in a global organization and demonstrated experience working in a multi-jurisdictional environment.
  • Strong ability to build and maintain relationships with internal and external stakeholders.Excellent English communication skills (oral and written); knowledge of German is an advantage.
  • Proficient in financial modeling, risk analysis, and quantitative techniques; programming skills (e.g., Python, C++).Deep understanding of structured products, derivatives, and multi-asset classes.
  • Proficiency in developing efficient investment decision and reporting tools, including expertise in back-testing and data analysis techniques.Strong grasp of financial markets and regulatory frameworks affecting product design and execution.
  • Excellent interpersonal skills for both client-facing and internal coordination roles.Mentor junior staff and support team development when needed.
Benefits
  • Work from home working models
  • Option for a time-out (sabbatical)
  • Generous premium discounts and grants
  • Discounts for the use of public transport
  • Cost sharing for external training
  • Internal sports club facility
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