Jobs Companies Julius Baer Model Risk Quantitative Analyst 100% (f/m/d)

À propos de ce poste Model Risk Quantitative Analyst 100% (f/m/d) chez Julius Baer

Julius Baer · Sur site · Zurich

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.

Model Validation & Trade Approval team is part of Market & Treasury Risk and is responsible for independent validation, governance, and ongoing performance assessment of valuation models. Moreover, Model Validation & Trade Approval team is responsible to assessing and challenging model uncertainty and valuation risk drivers that contribute to Model Risk valuation adjustments under Prudent Valuation regulations. The candidate will evaluate and examine modelling assumptions, calibration methodologies, and valuation frameworks to ensure robust model governance and prudent valuation practices.

YOUR CHALLENGE

  • Perform independent validation of pricing and valuation models used cross rates, credit, FX, derivatives, fixed income, and structured products

  • Involvement in New Product Approval process, serving as the gatekeeper for model risk, ensuring that pricing models are robust, well-understood, and subject to appropriate controls and oversight, with a thorough assessment of their conceptual soundness, implementation quality and compliance with the internal governance standards before the product is cleared for launch

  • Support Additional Valuation Adjustment (AVA) calculations rising from Model Risk by executing model performance monitoring and period reviews

  • Collaborate with Front Office Quants, Market Risk, Product Control, Finance to ensure that valuation methodologies remain robust, transparent, and compliant with internal policies and regulatory requirements

YOUR PROFILE

  • Advances degree (Master or PhD) in Quantitative Finance, Financial Engineering, Mathematics, Physics, Computer Science or a related quantitative discipline

  • Strong knowledge of financial products and pricing models across multiple asset classes.

  • Strong programming knowledge, preferably Python and Java

  • Prior experience in model validation, quantitative research or Front Office Quantitative Development with a deep understanding of model risk management

  • Knowledge of Additional Valuation Adjustments (AVA) and prudent valuation frameworks is a plus

  • A strong aptitude for analytical thinking and problem solving, with the ability to identify material model risks and valuation uncertainty, and formulate well-supported validation conclusions

  • Excellent communication and stakeholder management skills, capable of working effectively with Front Office Quants, Trading, Market Risk, Product Control, Finance while translating complex quantitative concepts into clear and actionable recommendations

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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À propos de 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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