Asset Management arm of a Top Investment Banks Seeks a Credit Risk Analyst

Top Investment Banks Asset Management arm Seeks a Credit Risk Analyst
Location : New York
Salary $80-100k Base, plus benefits and bonus

This Global Asset Management group is looking for a analyst who has had past experience in the credit analysis of Banking and Brokerage counterparts.

Although the candidate needs this experience you will not only have a focus on Credit, but also be taught and be involved in the Market, Liquidity Operational Risks across the asset management division.

Brief Summary of aspects of the role
• Carry out Credit risk analysis of US counterparts across all assets and Financial Institutions, exercising credit authority (including negotiating legal documentation)
• Drive strategic Developments in the AM risk management platform
• Be involved in New Product Approval discussions
• Market Risk Management on some portfolios
• Improve processes, systems and data feeds through optimisation and re-engineering
• Integrate Market Risk tools into CRM framework (e.g. PFE)
• Follow market developments and global environments, and carry out risk mitigation

Ideal Candidate
• Degree level Education or higher
• Credit Risk Management experience, specifically across Financial Institutions
• Product knowledge across all major OTC and listed derivatives
• Experience in negotiating of Master trading documents (ISDA-CSA)
• Proficient use of MS Office - advanced skills in MS Excel and MS Powerpoint
• Fluency in English

If you are wanting to bring your credit risk skills to a large asset management division, and develop your knowledge and skillset into Market and Liquidity risk apply now

December 7, 2012 • Posted in: General

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