Tier 1 British Bank seeks top Credit Analyst to join their Exposure Management team.
This role is for a Top Credit Analyst at a Tier 1 British Bank. You will be closing closely with Front Office, IT and Senior Management on numerous projects to improve the credit risking infrastructure.
If you are an excellent candidate looking to establish yourself in one of the Top Gobal Banks moving yourself to the front office, then you need to apply.
Role:
-The candidate will form part of the Structured Products section of TPEM. This group is responsible for credit risking exotic and structured transactions for a multitude of short term and longer term derivative products (Interest Rate Derivatives, Equity Derivatives, Commodities, Structured Credit, Fixed Income, FX and FX Options) across developed and Emerging Markets.
-The person will work closely with the IT, senior management, front office and other infrastructure areas to work on numerous projects aimed at improving the credit risking infrastructure (i.e. not just working on one-off margining requests).
-Further responsibilities will include developing stress tests at the counterparty and portfolio level.
-In addition, the candidate will work closely with other members of the structured team globally to ensure consistent methodology and approach, as well as working with the quantitative methodology team to ensure that methodology is appropriate. There is considerable interaction with sales personnel and dealers of many different nationalities often under considerable time pressure
Ideal Candidate:
-Graduate (or equivalent) in a finance or quantitative subject,
-Direct experience related to understanding the risks in complex derivative transactions,
-Proven financial markets experience,
-Financial modelling in a trading environment,
-Experience working directly with commercial traders and sales people,
-Experience working with financial risk management and control systems,
-Ability to think and make decisions under pressure and under short time-frames,
-Very competent at communicating risk methodologies, system functionality, and policies/procedures with commercial staff as well as with other departments,
-Maturity and ability to execute a control function with commercial staff,
-Capable of detecting inefficiencies and proposing solutions,
-Strong Excel and VBA skills,
-Ability to think broader issues associated with counterparty credit risk.
Keywords: Credit Risk, Risk, VP, Exposure, Counterparty, Stress Testing, Derivatives, regulatory, , Analyst, London, UK, Exotic, Front Office, Portfolio.
Please send all enquiries by mail.
Apply by email.
Please do not modify the subject of the mail or your application will not be considered.