Jobs Companies Julius Baer Credit Officer, Derivaties Competence Centre

Über diese Credit Officer, Derivaties Competence Centre Stelle bei Julius Baer

Julius Baer · Vor Ort · Singapore

At Julius Baer, we celebrate and value the individual qualities you bring, enabling you to be impactful, to be entrepreneurial, to be empowered, and to create value beyond wealth. Let’s shape the future of wealth management together.

We are seeking a highly motivated Credit Officer to join the Derivatives Competence Centre Team within Credit Risk Asia. This is a unique opportunity to develop expertise at the intersection of Credit Risk, Derivatives, Market Risk and Private Banking, supporting some of the region's most sophisticated trading clients. You will work closely with Front Office, Markets, Legal, Risk and Operations teams to structure credit solutions, assess trading-related risks and manage complex client portfolios with significant FX and Equity derivatives activity.

YOUR CHALLENGE

Credit Structuring, Approval and Management

  • Structure and approve credit facilities for HNW & UHNW clients with FX and Equity OTC and ETD trading activity.
  • Partner closely with Relationship Managers and product specialists to facilitate client business while maintaining sound risk discipline.
  • Monitor trading exposure and review collateral and margin netting arrangements for sophisticated client portfolios.
  • Manage margin shortfalls, limit excesses and portfolio risks.

Derivatives & Margining Expertise

  • Provide expert advice on derivatives-related credit risk matters.
  • Support assessment of FX and Equity OTC and ETD derivatives transactions and positions.
  • Develop expertise in margining methodologies, collateral frameworks and netting arrangements.
  • Depending on experience level, act as a subject matter expert or develop specialist expertise in trading-related credit risk topics.

Stakeholder Management

  • Build trusted relationships with Front Office, Markets, Legal, Operations and Risk partners.
  • Support transaction execution through close collaboration with internal stakeholders.
  • Work with Legal and external counsel on specialised trading documentation where required.
  • Communicate risk recommendations clearly and credibly to senior stakeholders.

Projects & Change Initiatives

  • Contribute to projects focused on risk methodology, infrastructure and process enhancements.
  • Support automation and data-driven improvements to risk monitoring and reporting.
  • Participate in strategic initiatives involving margining systems, collateral management and risk analytics.
  • Collaborate with regional and global teams to drive best practices across the organisation

Regulatory Responsibilities &/or Risk Management

  • Demonstrate appropriate values and behaviours including but not limited to standards on honesty and integrity, due care and diligence, fair dealing (treating customers fairly), management of conflicts of interest, competence and continuous development, adequate risk management, and compliance with applicable laws and regulations

YOUR PROFILE

Professional and Technical

Essential Qualifications & Experience

  • Experience in Credit Risk, FX trading, Market Risk or related disciplines.
  • Strong analytical skills and risk judgement.
  • University degree in a relevant discipline.

Preferred Experience

  • FX products and trading activities.
  • OTC and ETD Equity derivatives.
  • Understanding of margining, collateral management and netting.
  • CFA, FRM or similar qualification.
  • FX trading/sales or Market risk specialist looking to join a credit team covering large trading clients
  • Exposure to risk systems, data analytics tools and trading platforms such as Murex, MarginMan, Bloomberg, SQL or Copilot would be advantageous.

Personal and Social

  • Proactive, hands-on and solution-oriented
  • Excellent verbal and written communication skills
  • Team player and able to work under pressure
  • Able to understand clients’ needs
  • Excellent stakeholder management skills, with ability to influence across senior levels and global teams

We are looking forward to receiving your full job application through our online application tool. Further interesting job opportunities can be found on our Career site.

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Über Julius Baer

The international reference in wealth management Julius Baer is the leading Swiss wealth management group. We focus on servicing and advising sophisticated private clients from around the world, taking into account what truly matters to them – in their business and personal life, today and for future generations. Headquartered in Zurich, we are present in around 60 locations worldwide, including Bangkok, Dubai, Dublin, Frankfurt, Geneva, Hong Kong, London, Luxembourg, Madrid, Mexico City, Milan, Monaco, Mumbai, Santiago de Chile, Shanghai, Singapore, Tel Aviv, and Tokyo. Why join Julius Baer? At Julius Baer our employees enjoy the benefits of a global company with the support and collegialit

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