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Ensure smooth and compliant execution of daily operations within FX, Money Markets, Precious Metals and Treasury. Deliver high-quality performance in line with agreed standards, risk frameworks, and business goals. Contribute to the implementation of new products and processes and support continuous service and process improvements.

Tasks

  • Execute day-to-day FX, money market (MM), precious metals (PM), OTC settlement, and post-settlement activities
  • Support daily cash management tasks, including funding, liquidity movements, cash sweeps and account balancing
  • Identify and resolve reconciliation breaks in positions across multiple asset classes
  • Report daily cash balances accurately and on time to Asset Liability Management (ALM) and Position Control
  • Perform control tasks following the 4-eye principle, in accordance with defined standards
  • Adhere strictly to internal guidelines, policies, and compliance requirements
  • Demonstrate strong awareness of operational risk
  • Conduct regular controls, and promptly report incidents or system-related issues
  • Provide reliable support by responding to ad-hoc queries and delivering timely, accurate feedback
  • Initiate and propose improvement ideas to enhance efficiency, quality, and risk mitigation

Requirements

  • Successful completion of a bank apprenticeship or comparable vocational training preferred
  • Consideration given to lateral entrants (Quereinsteiger) with proven experience in regulated or financial settings
  • Prior exposure to banking operations or a financial services environment is highly desirable
  • Advanced proficiency in MS Office tools, particularly Excel
  • Fluent in both German and English (written and spoken)
  • High level of risk awareness, particularly in relation to operational risks
  • Reliable and accountable professional with a proactive, solution-oriented mindset
  • Strong interpersonal skills and a service-oriented attitude
  • Independent, precise, and structured in approach, with ability to work autonomously
  • Open to continuous learning and development; keen to embrace change and improvement
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Über uns
Julius Bär Gruppe AG ist eine international tätige Privatbank mit Schwerpunkt auf Vermögensverwaltung und Anlageberatung für vermögende Privatkunden. Das Unternehmen bietet Dienstleistungen in den Bereichen Wealth Management, Investment Advisory, Vermögensplanung sowie Finanzierungslösungen an und verfolgt eine offene Produktplattform für individuelle Anlagelösungen. Julius Bär ist weltweit in zahlreichen Finanzzentren vertreten und betreut Kundinnen und Kunden über ein internationales Netzwerk von Standorten.
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