Profound Knowledge of Swiss and International Treasury Markets
Our client is a successful private bank with its head office in Zurich and branches overseas. It has a strong capital base and is pursuing an accelerated growth in assets under management. We are mandated to find an outstanding personality for the Zurich-Office as
The successful candidate will be responsible for the active balance sheet management of the Head Office and its branches. As a key member of the asset and liability committee you take care of the liquidity management and the forecasting as well as of the funding strategy (short and long-term). Being a convincing leader by example you will manage a small team of professionals (treasury and forex-proprietary trading). Furthermore you will take care of the relationship management with counterparties and authorities in Switzerland and abroad.
We are looking for a personality with a sound education and substantial experience in a similar position. Core requirements are a thorough understanding of the Swiss and international treasury markets, an existing network of treasury contacts, leadership-skills as well as fluency in English and one other European language, preferably German. Excellent interpersonal skills, a track record of success in an international environment and a sensorium for adequate risks are the additional qualities which are expected from the successful candidate. If you are a strong teamplayer with good communication skills at all levels and have the desire to succeed in a dynamic global environment with flat hierarchies, please send your résumé and covering letter to: Roland Staub, Managing Partner.