Job Description
Summary
Responsibilities
- Own and evolve product roadmaps for trading and risk management initiatives
- Define requirements for trade lifecycle management, margining, collateral workflows, and related control frameworks
- Drive integration across trading, risk, and core banking or ledger platforms
- Coordinate with Legal, Risk, and Compliance on regulatory alignment, capital adequacy, and reporting obligations
- Manage stakeholder alignment across senior management, Legal & Regulatory, Risk, Finance, Operations, and Technology
Requirements
- Experience with institutional trading products and risk management in capital markets (for example derivatives, FX, or structured products)
- Exposure to OTC derivatives, margin mechanics (IM/VM), collateral management, or contractual frameworks
- 5+ years experience in financial industry
- Solid understanding of trade lifecycle concepts, risk management, and post-trade processes
- Experience working with API-driven systems and complex platform integrations
- Proven track record delivering financial products in regulated environments
Nice to Have
- Experience with FX trading products or market infrastructure
- Digital assets or crypto markets exposure
- Familiarity with Swiss or EU regulatory frameworks (FINMA, FinfraG, MiFID II / MiCAR)
- Experience with risk management platforms or core banking systems
Skills
- Communications Skills
- Product Management
- Risk Analysis
- Team Collaboration

