Overview

Credit Suisse is a leading global wealth manager with strong investment banking and asset management capabilities. Founded in 1856, Credit Suisse has expanded to be a global force employing over 45,000 people in 50 countries. With new leadership, a new strategy and a streamlined global organization, we are set for growth. We partner across businesses, divisions and regions to create innovative solutions to meet the needs of our clients—and to help our employees grow. It is a high priority for us to continually invest in our employees by providing ongoing opportunities for training, networking and mobility. Join us and let’s shape the future of Credit Suisse together.

We Offer:

The Capital Markets execution team within our Treasury group is responsible for planning and optimizing the firm’s global funding, and in particular its capital markets long-term issuances. The team also plays a key role in firm wide strategic and analytical projects.

  • You will deliver successful long-term funding and buyback executions by establishing a solid relationship with our Debt Capital Markets / Liability Management teams around the world, as well as internal stakeholders such as Operations, Product Control, Legal and Financial Accounting.
  • You will lead the optimization and planning of CS 5-year funding plan.
  • You will and prepare presentations to communicate critical funding strategy to our Treasurer, CFO, Regulators, CARMC Capital Allocation and Risk Management Committee and Board of Directors.
  • You will be in-charge of flashing P&L and managing risk flags for long-term debt books for better visibility, explanations and forecasts.
  • You will be in-charge of weekly Structured Note pricing.
  • You will communicate weekly, monthly and quarterly reporting requests to CS financial disclosure teams and perform all ad-hoc tasks as requested.
  • Credit Suisse maintains a Working Flexibility Policy, subject to the terms as set forth in the Credit Suisse United States Employment Handbook.

You Offer:

  • You have a Bachelor’s Degree in Business with a focus on Accounting or Finance; CFA or MBA preferred.
  • You have 3+ years of corporate finance or related work experience.
  • You ideally have at least 3+ years’ experience in Treasury funding or public funding executions, such as within debt/equity capital markets, or investment banking.
  • For internal applicants: Experience with Credit Suisse entity to entity flows highly desired.
  • You have excellent interpersonal, organization and presentation skills.
  • You are detail-orientated with the ability to turn analysis into insights/recommendations.

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