Senior Business Analyst - Market and Treasury Risk 80-100% (f/m/d) - (Contract through our external payroll partner with immediate start until 30.06.2028 with possible extension)
Senior Business Analyst - Market and Treasury Risk 80-100% (f/m/d) - (Contract through our external payroll partner with immediate start until 30.06.2028 with possible extension)
Senior Business Analyst - Market and Treasury Risk 80-100% (f/m/d) - (Contract through our external payroll partner with immediate start until 30.06.2028 with possible extension)
Senior Business Analyst - Market and Treasury Risk 80-100% (f/m/d) - (Contract through our external payroll partner with immediate start until 30.06.2028 with possible extension)
CH10 - BJB Bank Julius Baer & Co. Ltd.
Bankwesen
Zürich
- Art der Beschäftigung: Vollzeit
- 105.000 CHF – 150.500 CHF (von XING geschätzt)
- Vor Ort
- Zu den Ersten gehören
Senior Business Analyst - Market and Treasury Risk 80-100% (f/m/d) - (Contract through our external payroll partner with immediate start until 30.06.2028 with possible extension)
Über diesen Job
Senior Business Analyst - Market and Treasury Risk 80-100% (f/m/d) - (Contract through our external payroll partner with immediate start until 30.06.2028 with possible extension)
- locations
- Zurich
- time type
- Full time
- posted on
- Posted Today
- job requisition id
- r-17877
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.
YOUR CHALLENGE
Ensure dedicated coordination to identify and manage impacts on Market and Treasury Risk (MTR) linked to bank-wide ROC program
Take end‑to‑end ownership of all MTR impacts across applications, EUCs, data, and controls
Act as the primary liaison between MTR, ROC teams, and supporting technology groups, coordinating requirements and managing cross‑stream dependencies for all MTR‑related changes
YOUR PROFILE
Bachelor’s or Master’s degree in Finance, Economics, Engineering, Business, Computer Science, or a related discipline
Strong analytical skills with the ability to interpret data flows and system impacts
Familiarity with modern collaboration and delivery tools (JIRA, Confluence, and other common agile collaboration tools)
Strong understanding of Market and Treasury Risk processes and control requirements
Experience with risk data, risk systems, and downstream control environments, including end‑to‑end operational and infrastructure components
Ability to work effectively with IT, risk managers, and business analysts across multiple workstreams
Proven capability to consolidate requirements, manage dependencies, and drive coordinated end‑to‑end testing activities
Able to collaborate with highly qualified, technically minded staff
Skilled at tracking details while maintaining a broad program view
Proactive in identifying gaps, inconsistencies, or emerging risks
Fluency in English (written and spoken) is required; proficiency in German is highly desirable
We only consider candidates who can start immediately.
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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