Description
A leading investment bank is looking to take on a credit risk analyst for a contract position in their growing team. My client is looking for a strong candidate to join their team, and cover in-depth counterparty, industry and portfolio analysis supporting the credit relationships for a portfolio of Bank clients.
The ideal candidate will have a good understanding of credit risk associated with trading floor business products, together with a broad working understanding of derivative products. You will be responsible for a portfolio of fund and hedge fund management relationships, so a background in this area would be most suitable.
The Credit Risk Analyst - Fund Analysis - London:
- Strong knowledge of credit risk
- A background in fund/bank analysis
- Knowledge of derivative products
- Excel Skills
- Knowledge of French would be a bonus
Responsibilities for the Credit Risk Analyst - Fund Analysis - London:
- Support the credit relationships for a portfolio of accounts
- Work with trading floor businesses to mitigate credit risks
- Communicate the risks associated with derivative transactions to experts in other areas of the bank
This is an excellent opportunity to join a world-renowned team, and make a real impact on the business from the start. If you are interested, please apply to the details below:
Key Words: Credit Risk, Portfolio Analysis, Fund Analysis, Bank Analysis, Risk Analysis, Derivatives, Excel, Counterparty Analysis, Industry Analysis, Credit Exposure, Credit Risk Analyst, French, London, UK
Start Date: April 2012
Duration: 1 Year Contract
Rate: Negotiable
Contact: Kavi Kumar