To provide specialist knowledge and subject matter expertise to drive the execution of credit / portfolio services for a portfolio of medium to high risk counterparty credit risks associated with lending trading and investing activities with the primary objective of assessing and managing risk within acceptable parameters. Perform effective risk management through assessing measuring and mitigating risks through various strategies.
Qualifications :
Type of Qualification: First Degree
Field of Study: Business Commerce Finance and Accounting Mathematical Sciences Risk Management Quantitative Studies
Licenses & Certifications: Certified Risk Manager (CRM) Chartered Financial Analyst (CFA)
Experience Required
5-7 years experience and in-depth understanding of financial markets and the entire range of products/services/facilities available to meet the needs of the banks commercial banking clients. Knowledge of the full range of products across investment / business / commercial banking. Conceptual understanding of credit policies and principles and how their successful application can lead to market success and an understanding of corporate / commercial credit and financial market trends.
At least 5 years credit experience.
Additional Information :
Behavioural Competencies:
- Establishing Rapport
- Examining Information
- Exploring Possibilities
- Making Decisions
- Upholding Standards
Technical Competencies:
- Risk Awareness
- Risk Management
- Risk Reporting
- Risk/ Reward Thinking
Remote Work :
No
Employment Type :
Full-time
To provide specialist knowledge and subject matter expertise to drive the execution of credit / portfolio services for a portfolio of medium to high risk counterparty credit risks associated with lending trading and investing activities with the primary objective of assessing and managing risk withi...
To provide specialist knowledge and subject matter expertise to drive the execution of credit / portfolio services for a portfolio of medium to high risk counterparty credit risks associated with lending trading and investing activities with the primary objective of assessing and managing risk within acceptable parameters. Perform effective risk management through assessing measuring and mitigating risks through various strategies.
Qualifications :
Type of Qualification: First Degree
Field of Study: Business Commerce Finance and Accounting Mathematical Sciences Risk Management Quantitative Studies
Licenses & Certifications: Certified Risk Manager (CRM) Chartered Financial Analyst (CFA)
Experience Required
5-7 years experience and in-depth understanding of financial markets and the entire range of products/services/facilities available to meet the needs of the banks commercial banking clients. Knowledge of the full range of products across investment / business / commercial banking. Conceptual understanding of credit policies and principles and how their successful application can lead to market success and an understanding of corporate / commercial credit and financial market trends.
At least 5 years credit experience.
Additional Information :
Behavioural Competencies:
- Establishing Rapport
- Examining Information
- Exploring Possibilities
- Making Decisions
- Upholding Standards
Technical Competencies:
- Risk Awareness
- Risk Management
- Risk Reporting
- Risk/ Reward Thinking
Remote Work :
No
Employment Type :
Full-time
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