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A leading international bank is looking to hire a Manager for its second-line Credit Risk function, which supports the bank’s corporate banking & capital markets business lines. The role is a combination of Credit Risk Reporting/ Analytics and managing a portfolio.
To be considered for an interview, please make sure your application is full in line with the job specs as found below.
Key responsibilities include:
- Contribute to the quality of the credit portfolio by assisting with assessing, evaluation and providing recommendations upon credit reviews submitted to credit risk.
- Safeguard the accurate and timely reporting and monitoring of the credit risk portfolio, including credit risk metrics, key risk indicators and risk appetite metrics to senior management and applicable committees.
- Act as the Secretary to Credit Committee, maintaining accurate and timely record keeping of submissions, preparing Agenda’s and completing comprehensive Minutes for these key governance committees.
- Promote and uphold effective relations with regulators, auditors, and external partners guaranteeing compliance with regulatory requirements and audit standards.
Key requirements include:
- Graduate degree in business or related with emphasis in analytics, finance.
- Strong computer literacy and Excel / Power BI skills.
- Credit experience in a banking or financial reporting capacity.
- Understanding of IFRS 9 accounting standard. xcfaprz
- Understanding of loan structures and pricing.
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Sprachkenntnisse
- English
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