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Kick-start your career with Julius Baer’s Graduate Programme starting April 2027. This 18-month programme is designed to unleash your potential through three dynamic rotations, including an international assignment, providing hands-on experience, a global network, and a foundation for a career in wealth management.

Tasks

  • Prepare the daily macro hedge FX position report, gaining direct exposure to how the bank manages its FX risk.
  • Build hands-on expertise in FX hedging by helping test a new FX risk management tool and contributing findings to its development.
  • Support the month-end closing processes for interest rate risk (IRR) hedge accounting, ensuring accurate and timely financial reporting.
  • Assist in setting up and maintaining IRR hedge accounting relationships.
  • Actively support the implementation of Murex MX.3, a hedge accounting platform, and develop automation of hedge accounting processes.
  • During the international assignment in Treasury Singapore, prepare daily FX positions to be booked to Zurich and build understanding of foreign currency flows across Asia.
  • Identify opportunities to align and optimize FX and IRR hedging practices across regions.
  • In Group Accounting and Reporting, deepen knowledge of foreign currency accounting, including the MCA module of SAP.
  • Develop understanding of the FX translation process (OCI translations) and the impact of net investment hedges on the FX mix of capital.
  • Collaborate with the Group Accounting team responsible for disclosure of FX, IRR, and hedge accounting in the annual financial statements.

Requirements

  • Master's degree from a university or university of applied sciences with above-average grades in Financial Accounting and Reporting and Economics (graduation max. 12 months ago).
  • Initial practical experience at a financial institution or corporate treasury and with accounting skills.
  • Passion for wealth management and a desire to create value beyond wealth.
  • A global mindset, excellent interpersonal skills, and a strong appetite for learning.
  • Fluency in English; additional languages are a plus.
  • Eligibility to work in the country where you apply for the position.

Benefits

  • Tailored career path to develop expertise in your chosen field while growing personally and professionally.
  • Gain international experience and work with diverse teams.
  • Learn from industry leaders and peers and build a strong network.
  • Contribute to projects that make a real difference from day one.
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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.
Das Team

As part of the CFO unit, you will join the Treasury Corporate FX and Hedging Team, which plays a key role in managing FX risk and hedge accounting for the bank.

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