Emerging Market FI Senior Credit Analyst

Purpose: Europe Credit Division’s (ECD) principle responsibility is to maintain and monitor the quality of that part of the lending book falling within its jurisdiction (Europe, Africa and the Middle East), in accordance with Bank policy and the procedures contained in standard instructions.  Specifically, ECD will:Approve credit / risk lines up to the approval level of the General Manager / Department.Review and provide a recommendation to MEO Europe and Head Office on credit / risk line requests above the approval level of the Department.Review and monitor the loan portfolio to maintain a Read more […]

March 28, 2013 • Tags:  • Posted in: Financial • No Comments

Data Validation and Control Reconciliation Lead

This role is responsible for the business aspects of stress test data source validation, sign-off, governance and risk to finance reconciliation processes for the Barclays project to deliver the PRA’s Firm Data Submission Framework (“FDSF”) initiative. Working within a complex technology and business change programme, in coordination with others in Risk and Finance, the goal is to design and deliver the Group Risk data validation strategy for as it relates to stress data.  The role will focus on the Group central aspects of stress test data collection however oversight of Divisional data Read more […]

March 28, 2013 • Tags:  • Posted in: Financial • No Comments

Programme / Project Manager

Hands on Individual required to focus on the front office impacts of Dodd Frank VII and EMIR. Business focussed not technology. Permanent role with a structured career path. Alexander Ash is acting as an agency for the purpose of this advert.

March 28, 2013 • Tags:  • Posted in: Financial • No Comments

Gatwick Based-Corporate Credit Analyst

Outline :You will be working with a wide portfolio of small to mid sized corporate clients. You will need to understand their loan requirements, structure transactions and become their advocate when presenting their needs to an internal Risk Committee.You will need to have exceptional communication and client-facing skills as well as an ability to build strategic relationships with key stakeholders.Your skills and qualifications will ideally include:Demonstrable experience in a credit analysis role covering a portfolio of small to mid-sized corporates. Demonstrable exposure to the UK corporate Read more […]

March 28, 2013 • Tags:  • Posted in: Financial • No Comments

Business Analyst – Credit Portfolio Compression

Our client, a top tier investment bank, is looking for a high calibre individual to join their Operations change Portfolio Compression team. The role will entail analyzing existing Credit Portfolios, and aiding in the netting and breaking of numerous swaps into individual portfolios. The role has come about due to ever increasing regulation around OTC products, namely under the Dodd Frank act. The ideal candidate will have a background within the Operations line area, preferrably within the Credit arena. Furthermore, if the candidate has experience of working within the project environment as Read more […]

March 28, 2013 • Tags:  • Posted in: Financial • No Comments

Corporate Credit Analyst, TMT

The EMEA Credit team is seeking a corporate credit analyst at the Associate level to join their London team. The main responsibility is to maintain and monitor the quality of the lending book across EMEA and carry out ongoing reviews of the portfolio.Responsibilities: Carry out analysis of credit applications. Prepare credit reports. Monitor developments across specific industry sectors. Conduct reviews and assess internal ratings on a regular basis.Requirements: Excellent credit analysis skills. Cash flow modelling experience. Experience of analysing major UK/European corporates. Experience of Read more […]

March 28, 2013 • Tags:  • Posted in: Financial • No Comments

Head of CVA Analytics (MD)

The need is for an energetic MD level person (preferably from a bulge bracket), to assist develop the business with high enthusiasm EXPERIENCE REQUIRED: Candidates should have at least 10 years’ experience in the Credit Markets and should have had deal specific PL responsibility with Portfolio Management or CVA Management or corporate credit for both trading and/or analytics. You’ll need an excellent academic background and strong analytical skills

March 28, 2013 • Tags:  • Posted in: Financial • No Comments

Analyst

The analysis will include reviewing legal documents, analyzing collateral pools, deal structures, cash flows and third party due diligence reports, using Moody’s in-house models, Excel or other models and statistical packages to formulate independent credit opinion and presenting to rating committees. Responsibilities will also include performing reviews of originators servicers and enhancing existing analytical models. The candidate is also expected to publish timely, insightful and in-depth research and transaction reports, interact effectively with market participants and speak knowledgeably Read more […]

March 27, 2013 • Tags:  • Posted in: Financial • No Comments

Credit Risk Analytics Manager

We are currently recruiting for a global brand, who have an exciting 12 month fixed term contract for a Credit Risk Analytics Manager. The role exists to provide reporting and data analysis for a secured credit portfolio, this would also include responsibility for the lending policies, as well developing, deploying and maintaining credit risk models and rating tools that allow the business to make balanced risk/reward decisions.Accountabilities would include;Developing and maintaining existing credit scorecards (both application and behavioural)Developing and maintaining credit lending policiesMonitoring Read more […]

March 27, 2013 • Tags:  • Posted in: Financial • No Comments

Sr. Credit Risk/Ratings Analyst

The group conducts research to determine the risk arising from transactions with lending and trading counterparties.  Utilizing credit rating models and expert judgment, the group assigns counterparties a credit rating to denote the level of risk take by the firm.   The successful candidate will have an advanced degree in a quantitative field along with a minimum of 7-10  years of financial experience with a focus in credit risk management.  Strong knowledge and experience with credit rating models and statistics.  Knowledge of Basel II and prior experience leading a group is a plus.  Please Read more […]

March 27, 2013 • Tags:  • Posted in: Financial • No Comments