ABOUT THE ROLE
At Leonteq, we are a leading player in the financial industry, renowned for our innovative approaches, our commitment to excellence and our entrepreneurial spirit. Our organisational values people together, passion, dedication, quality and expertise are our guiding north star.
WHAT YOU'LL DO
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
WHAT YOU'LL NEED
Masters/Bachelor's degree in Finance or Economics
Ability to work independently and under pressure
Excellent analytical and problem solving skills
Good oral and written English skills
Keen interest to improve existing processes and procedures
NICE TO HAVE
Derivatives and/or Structured Product knowledge would be an advantage
Excel/VBA knowledge would be an asset