Job Description
Work with team of onshore analysts to cover credit risk monitoring for Financial Institutions portfolio
- Reviewing credit reports and financial models submitted by portfolio monitoring team based on fundamental analysis for a set of assigned credits/companies
- The credit assessment review requires the following:
- Undertaking research and analysis of an entity through thorough assessment of its credit strengths and weakness and weighing its business and financial risk profile.
- Understanding the potential for sovereign support or parent support which would need to be factored into the credit assessments.
- Preparing a detailed credit assessment report and elaborately discuss the company profile and credit risk considerations.
- Preparing and updating detailed financial models encompassing financial analysis and calculation of key ratios
- Determine and recommend ratings to the entity based on the internal rating framework and methodology.
- Regular interaction with client to discuss reports as well as workflow
- Support the client with any ad-hoc research requests including sector research
- Engage with client teams proactively and suggest new ideas to enhance client engagement
- Train new hires and mentor juniors in the team
FUNCTIONAL & BEHAVIOURAL KNOWLEDGE
- Experience in deal financial modeling/ surveillance/ portfolio monitoring and credit analysis
- Experience in working in credit risk divisions and understanding of review and challenge roles
- Good understanding of banking regulations calculation of key credit metrics and capital ratios
- Reasonable understanding of banks internal systems
MINIMUM & PREFERRED EDUCATION
MBA or CA or Masters degree preferred; CFA certification is a plus
MINIMUM & PREFERRED EXPERIENCE / SKILLS
7-9 years of work experience preferable in credit risk/credit research
High level of attention to detail and accuracy; Diligence and hard work
Organization skills and the ability to manage and prioritize workload
Good understanding of MS office products
Education Qualificaiton
CA/ MBA Finance/any postgraduate having relevant experience
Required Skills:
Credit RiskRisk MonitoringFinancial Institutionsportfolio monitoring
Job Description Work with team of onshore analysts to cover credit risk monitoring for Financial Institutions portfolio Reviewing credit reports and financial models submitted by portfolio monitoring team based on fundamental analysis for a set of assigned credits/companies The credit assessment re...
Job Description
Work with team of onshore analysts to cover credit risk monitoring for Financial Institutions portfolio
- Reviewing credit reports and financial models submitted by portfolio monitoring team based on fundamental analysis for a set of assigned credits/companies
- The credit assessment review requires the following:
- Undertaking research and analysis of an entity through thorough assessment of its credit strengths and weakness and weighing its business and financial risk profile.
- Understanding the potential for sovereign support or parent support which would need to be factored into the credit assessments.
- Preparing a detailed credit assessment report and elaborately discuss the company profile and credit risk considerations.
- Preparing and updating detailed financial models encompassing financial analysis and calculation of key ratios
- Determine and recommend ratings to the entity based on the internal rating framework and methodology.
- Regular interaction with client to discuss reports as well as workflow
- Support the client with any ad-hoc research requests including sector research
- Engage with client teams proactively and suggest new ideas to enhance client engagement
- Train new hires and mentor juniors in the team
FUNCTIONAL & BEHAVIOURAL KNOWLEDGE
- Experience in deal financial modeling/ surveillance/ portfolio monitoring and credit analysis
- Experience in working in credit risk divisions and understanding of review and challenge roles
- Good understanding of banking regulations calculation of key credit metrics and capital ratios
- Reasonable understanding of banks internal systems
MINIMUM & PREFERRED EDUCATION
MBA or CA or Masters degree preferred; CFA certification is a plus
MINIMUM & PREFERRED EXPERIENCE / SKILLS
7-9 years of work experience preferable in credit risk/credit research
High level of attention to detail and accuracy; Diligence and hard work
Organization skills and the ability to manage and prioritize workload
Good understanding of MS office products
Education Qualificaiton
CA/ MBA Finance/any postgraduate having relevant experience
Required Skills:
Credit RiskRisk MonitoringFinancial Institutionsportfolio monitoring
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