Credit Risk Analyst - London

London  ‐ Onsite
This project has been archived and is not accepting more applications.
Browse open projects on our job board.

Description

Credit Risk Analyst - London

A superb opportunity for a Credit Risk and Reporting Manager has arisen within a Top Tier Investment Bank based in London. This company are extremely cash rich and have a reputation for developing their staff and promoting internally.

On a day to day basis the Credit Risk and Reporting Manager will be responsible for the following;
To control that the exposure commitments undertaken are aligned with the Banks Credit, Compliance and Governance policies and to manage exposure commitments.

Essential Requirements
Knowledge of risk controls and Risk Management: Good knowledge of the primary risk categories in financial services
Minimum of 5/6 years experience of banking /financial services industry experience
Minimum 3 years of Financial experience, must know how to read a balance sheet, interpret financial reports and know how to perform basic accounting entries.
Familiar with working in a fast paced environment
Advantage to have General knowledge of trade solutions such as Letters of Credit, Collections, Guarantees, receivables finance
Qualified Accountant (Preferably CIMA)
Credit Risk background or knowledge of Finance and Risk (Liquidity Risk)

Keywords: Credit Risk, Risk Management, Risk Analyst, Investment Banking, Financial services, pnl, profit & lost, balance sheet, reporting, financial statements

If this role is of interest to you, please reply with a copy of your latest CV.

Looking forward to hearing from you,
Start date
05/2015
From
Huxley
Published at
27.04.2015
Project ID:
893132
Contract type
Permanent
To apply to this project you must log in.
Register