YOUR TASKS & RESPONSIBILITIES
• Key point of control and support to Trading (based on the trading floor)
• Set-up and maintenance of structured products (across all asset classes) in the risk-management system (Sophis)
• Setting up and booking associated hedging products
• Performing P&L sensitivity checks on new bookings/trades
• Liaising with Trading, Quants and Risk in order to replicate new or complex pay-offs
• Daily contact with Risk and Finance to ensure risk and P&L is captured correctly
• Managing the life-cycle of Leonteq issued products (such as autocall scenarios, coupon payments, stop loss events etc.)
• Drive automation process and participate in projects
OUR REQUIREMENTS
• Masters/Bachelor’s degree in Finance or Economics
• Ability to work independently and under pressure
• Derivatives and/or Structured Product knowledge would be an advantage
• Excellent analytical and problem solving skills
• Excel/VBA knowledge would be an asset
• Good oral and written English skills
• Keen interest to improve existing processes and procedures
• Minimum 3 years relevant experience