Client:
Our client is a leading global insurance and financial services group with a strong presence across multiple markets. Recognized for innovation and excellence, the organization is seeking a highly skilled financial structuring professional, ideally with a background in investment banking, structured products, or insurance investment solutions.
Position:
At ED level, this cross-asset structurer role focuses on designing and delivering sophisticated financial solutions spanning equities, fixed income, commodities, FX, and derivatives, tailored to client requirements. Flexible and hybrid working arrangements are available to accommodate different working styles.
Key responsibilities include:
- Mandates Management: Support the team in overseeing mandates, optimizing resource allocation, and providing data-driven insights to refine strategies and enhance client outcomes.
- Product Development: Design and implement complex, cross-asset financial solutions, including derivatives, structured notes, swaps, and asset-backed securities. Engage with internal stakeholders to understand needs, present solutions, and communicate structures clearly.
- Risk and Market Analysis: Evaluate market, credit, operational, and legal risks associated with proposed structures. Conduct quantitative and market research to identify trends, opportunities, and innovative structuring techniques.
- Regulatory Support: Assist with monitoring and implementing regulatory changes, ensuring compliance across the organization while promoting efficient, cost-effective processes.
- Innovation and Tools: Develop investment decision tools using back-testing and data analytics to support strategic decisions and enhance product offerings.
Profile:
- Master's degree in Economics, Physics, Mathematics or Finance
- At least 10 years+ experience in multi-asset financial structuring (ideally from investment banking)
- Expertise in derivatives and structured products.
- Proven analytical skills and ability to interpret complex data.
- Excellent communication skills, capable of explaining complex concepts clearly to stakeholders.
- Skilled in financial modeling, risk analysis, and quantitative methods, with Python and C++ proficiency.
- Knowledge of regulatory frameworks affecting derivatives and structured products.
- A proactive approach to innovation and process improvement.
- Based in the Zurich area or open to relocating, motivated to bring your banking expertise to the insurance sector.
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Why Apply:
This is a unique opportunity to join a forward-thinking global organization, working on sophisticated cross-asset financial solutions with a high degree of autonomy and strategic impact. The role offers exposure to a diverse set of asset classes, opportunities for professional growth, and the chance to influence product innovation and regulatory practices at a global level.
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