Question
FULL_TIME
2-5

Treasury Analyst

5/13/2026

The role focuses on managing the bank's balance sheet, capital planning, and ensuring compliance with regulatory requirements. It involves collaborating with senior stakeholders to optimize liquidity and implementing FX risk mitigation strategies.

Working Hours

40 hours/week

Company Size

5,001-10,000 employees

Language

English

Visa Sponsorship

No

About The Company
Julius Baer is present in around 25 countries and 60 locations. Headquartered in Zurich, we have offices in key locations including Bangkok, Dubai, Dublin, Frankfurt, Geneva, Hong Kong, London, Luxembourg, Madrid, Mexico City, Milan, Monaco, Mumbai, Santiago de Chile, Shanghai, Singapore, Tel Aviv, and Tokyo. Our client-centric approach, our objective advice based on the Julius Baer open product platform, our solid financial base, and our entrepreneurial management culture make us the international reference in wealth management.
About the Role

At Julius Baer, we celebrate and value the individual qualities you bring, enabling you to be impactful, to be entrepreneurial, to be empowered, and to create value beyond wealth. Let’s shape the future of wealth management together.

Treasury operations primarily include Asset-Liability Management of the bank’s balance sheet, money market activities & interest rate operations. Treasury reports directly to Group Treasurer & is part of the CFO organization, and acts independently from the Business.

In this high-impact role, you will be instrumental in ensuring the bank’s ongoing compliance with regulatory requirements while providing forward-looking insights that guide executive decision-making. Working closely with senior stakeholders across Treasury, Finance, Risk Management, and Regulatory Reporting, you will help safeguard and optimise one of the bank’s most critical resources — its capital and liquidity.

YOUR CHALLENGE

Client Management (internal & external)

  • Servicing the front office in Treasury product offering which includes Deposits/ Loans and Fiduciary Placements.
  • Provide/arrange training/education to Private Banking RMs in relation to Treasury products & operations, and periodic updates on products and services offered.
  • Foster good relationships with external market participants to widen accessibility of liquidity/services for Treasury dealing, ensuring efficient and effective yield optimisation.
  • Active discussion with Global Treasury on the overall balance sheet management, ensuring activities are within established local and Head Office limits.

Business Management

  • Capital Planning – Actively participate in the capital planning process, contributing to the development and maintenance of the capital and liquidity planning model.
  • FX Risk Mitigation Strategy – Lead detailed assessments of the FX sensitivity of regulatory capital. Collaborate closely with the Corporate FX and Hedge Accounting team to design and monitor effective hedging strategies aimed at immunising capital ratios against adverse currency movements.
  • Own Share Tracking – Monitoring of share buybacks and vesting activities related to deferred share compensation programmes, coordinating regularly with Human Resources.
  • Regulatory Intelligence & Impact Assessments – Serve as a point of contact for local regulatory topics. Continuously review emerging changes in the global regulatory landscape and produce ad-hoc impact analyses to assess implications for Asia.
  • Project Management – Collaborate closely with different teams on requirements gathering, functional specifications and UAT to roll out Treasury initiatives.

Regulatory Responsibilities &/OR Risk Management

  • Demonstration of appropriate values and behaviours including but not limited to standards on honesty and integrity, due care and diligence, fair dealing (treating customers fairly), management of conflicts of interest, competence and continuous development, adequate risk management, and compliance with applicable laws and regulations.

YOUR PROFILE

Personal and Social

  • Solution-oriented and delivery-focused mindset with proven ability to manage multiple priorities under tight deadlines.
  • Excellent communication and presentation skills — able to distil complex technical concepts for non-expert audiences.
  • Independent worker with high attention to detail, personal accountability, and a commitment to quality outcomes.

Professional and Technical

  • Completed university degree in Finance, Economics, Statistics, Mathematics, Engineering, or a related quantitative field.
  • A postgraduate qualification such as CFA, FRM, or similar is advantageous but not required.
  • 3–5 years of relevant experience in banking regulation, treasury, or financial consulting, preferably within a regulated financial institution.
  • Solid understanding of prudential frameworks, especially Basel III, CRD/CRR, LCR, NSFR, leverage ratio.
  • Demonstrated experience in financial modelling, data analysis, and regulatory reporting; proficiency in Excel, PowerPoint, knowledge of programming languages - e.g., Python, SQL, VBA - is a strong asset.
  • Previous exposure to capital and liquidity planning is beneficial

We are looking forward to receiving your full job application through our online application tool. Further interesting job opportunities can be found on our Career site.

Is this not quite what you are looking for? Set up a job alert by creating a candidate account here.

Key Skills
Asset-Liability ManagementCapital PlanningFX Risk MitigationRegulatory ReportingFinancial ModellingData AnalysisBasel IIILCRNSFRPythonSQLVBAExcelPowerPointStakeholder ManagementProject Management
Categories
Finance & AccountingConsultingData & Analytics
Benefits
Flexible Working OptionsCareer Development ProgrammesHealth And Well-being Support
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