Job Summary
A company is looking for a Credit Risk Analyst.
Key Responsibilities
- Perform quantitative analysis to inform risk calibrations and configurations
- Present findings and recommendations to senior leadership and escalate issues as necessary
- Monitor portfolio risks and oversee periodic and ad hoc portfolio reviews
Required Qualifications
- Minimum of 4 years' experience in credit or market risk management associated with derivatives at a global financial institution
- Strong quantitative skills and understanding of capital markets products
- Self-starter with commercial business insight and ability to build relationships across all functions
- Able to balance strategic focus with tactical implementation and efficient execution
- Excellent analytical and spreadsheet skills
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