Credit Risk Manager – Top Bank – Charlotte, NC recruitment

You will use your regulatory and risk experience to plan for the Basel requirements to analyze and implement plans for Basel 2 and 3, while also improving the processes. You will work with team members to understand new products and new risks being incurred by the trading desks, having front office exposure. You will coordinate with Credit Analytics group on risk methodology for the banks trading products.

This position is expected to develop a close working relationship with Counterparty Risk Analytics, Risk Technology and other risk management groups.

Requirements:

- Masters or MBA in a Quantitative or Finance related degree
- •5+ years experience in a capital markets environment
•Strong computer skills (complete facility with Excel, Access, trading applications, and various market data services);
•Strong communication and organizational skills;
•Experience with a variety of asset classes and types of trading products preferably in a Risk Management role;
- Familiarity with exchange traded and clearing house products
•Experience/understanding of economic and regulatory capital related to counterparty risk exposure; familiarity with Basel proposals and requirements;
•Exposure to credit risk (PFE, EL, credit capital) and/ormarket risk (valuation, monte carlo, greeks, VaR) methodologies and systems;
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