Senior Analyst - Credit Risk - Wholesale - London

London  ‐ Onsite
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Keywords

Description

Our client, a leading retail bank, is looking to recruit a Senior Credit Risk Analyst, to ensure a consistent control standard is applied across treasury and corporate Front Office systems. The post holder is also responsible for ensuring that all limits to counterparties are correctly reflected on central risk management systems, and to ensure that all data on credit measurement systems is correctly reflecting the risk exposure of the bank.

Key Responsibilities:

Ensure that all credit risk decisions with regards to limit blocking, cancellation and update of static data are actioned promptly and efficiently. Ensure that all exposures are correctly reflected for the product and counterpart
Review periodic MI to ensure that all limits are correctly reflected on control systems.
Ensure consistent application of group policies with regards to systems and portfolios understanding how they impact exposure reporting
Ongoing monitoring of the robustness and accuracy of the risk exposure on credit risk control systems including maintaining ratings, timely completion of systems reviews, etc
Monitor products and exposures and ensure they fall within approved risk frameworks (eg mandate and methodology models etc.) Ensure high quality of MI
Provision of highest quality MI for the daily management of exposures, excesses and any other required data required to provide MI to Senior Management.
Awareness of the Business' financial objectives and providing constructive support, from a credit risk control perspective, to achieve these targets.
Early advice of risk concerns on specific exposures, assistance with booking proposals and provision of training and general guidance on risk matters as required.
Display effective time management, meeting prescribed deadlines for both internal and external activities. Understanding of Front Office systems and trade booking requirements as well as legal documentation for treasury products and risk mitigation and risk measurement methodologies. Understanding of Regulatory reporting requirements

Core Competencies

At least 5 years experience in Treasury or Corporate Risk Control function.
Demonstrable exposure to the UK and International treasury and corporate banking sector and an in depth knowledge products and documentation.

Strong credit analytical skills

Display clear & confident understanding of key risk issues/form a concise & balanced decision/recommendation
Processing, Administration & Accuracy
Risk Management & Control
Service/Solutions Delivery
Business & Product Knowledge

Please note that, due to the high level of applications we receive, we are not able to provide individual responses. If you have not heard from us within 5 working days, please assume that you have not been successful on this occasion. Services advertised by Campion Willcocks & Associates Ltd are those of an agency and/or employment business.

Start date
1-3 weeks
Duration
3-6 months+
(extension possible)
From
Generic Network
Published at
07.12.2011
Project ID:
278367
Contract type
Freelance
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