Credit Risk Reporting Analyst

London  ‐ Onsite
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Keywords

Description

Credit Risk, Risk Reporting, Management Reporting, Risk Portfolio Reporting

My client, a leading European Investment Bank requires a Reporting Analyst to work within their Risk Portfolio Reporting team. The team are responsible for the compilation and quality assurance of risk management information which is delivered to the Chief Risk Officer, Management Board and Supervisory Board as well as to related parties outside the bank. This information covers all aspects of risk including credit, market, operational and treasury.
The successful candidate will be required to facilitate, co-ordinate and quality assure the delivery of strategic management reports to senior management and regulators on both a regular and ad hoc basis as well as being the central entry point for all risk related reporting requests on a management level. They will also be responsible for designing the risk management reports in co-operation with the respective risk management units (Credit Risk, Market Risk, Operational Risk and Treasury), although for this particular role there will be a strong bias towards Credit Risk.
In order to be considered for this role you will need to have extensive management and/or risk reporting experience within an investment banking environment. You will also need extensive credit risk experience as the successful candidate will be responsible for the credit risk related aspects of the reporting. Strong Excel and PowerPoint skills will also be needed, as will a high attention to detail.

Aston Carter Ltd is acting as an Employment Business in relation to this vacancy.

Start date
ASAP+
Duration
6 months+
(extension possible)
From
Generic Network
Published at
30.09.2011
Project ID:
246191
Contract type
Freelance
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