Description
Our client a leading investment bank is actively recruiting for a MI Credit Risk reporting analyst to assist with the analysis and reporting of their Non Core portfolio customers across a range of business functions including their trading book and banking book portfolios.
Role responsibilities:
* To support the Risk Decision Support area of the Non Core Division in the development of an MI pack which consolidates the performance across Non-Core businesses
* To support risk heads and the management team in business planning and risk management decisions by analysing areas of interest and on-going portfolio monitoring
* Develop an analysis of key drivers and production of regular KPI's
* Identify and resolve underlying data and process issues impacting reporting analysis
Skills/experiences required:
* Previous experience in risk reporting and analysis
* Exposure to RWA, Provisioning, Market Risk or Operational Risk management and reporting
* Strong data interrogation and analysis experience
* Experience of working to multiple deadlines
* Accountant, Risk or Treasury qualification essential