Group Treasury is responsible for the efficient management of UBSs financial resources and as such plays a critical part in the long-term success of the company.
Our activities include balance sheet and capital management, interest rate and currency management, liquidity and funding management.
Working in Group Treasury involves maintaining a constant balance between risk and return. Risk is both a threat and an opportunity in our line of work. We have to transfer risk to avoid concentrations and control exposures, but also be ready to capitalize on income generating opportunities.
The variety of risks and circumstances we encounter on a daily basis ensures that we work in an environment of constant intellectual challenge. Group Treasury offers a unique vantage point, with corresponding exposure, to UBSs varied global business activities and requires close cooperation and partnering with the businesses.
Your skills could contribute in a number of areas. You could be dealing with foreign exchange risk on profits earned around the world, or working closely with colleagues in Business Banking and the Investment Bank to manage open interest rate exposures. Equally, you may be responsible for developing the structures we use to finance our businesses, safeguarding liquidity across all markets, time zones and currencies, or managing the firms equity.
Whatever your role and level of experience, you will be able to develop your talents and further your career working alongside supportive colleagues in a team-oriented atmosphere.