Our team specialises in evaluating and managing risks across diverse business models, encompassing commodity product trading, fixed income, and asset finance products.
We are a global financial services group operating in multiple markets with a strong track record of profitability.
You'll be part of a collaborative and supportive environment where everyone contributes ideas and drives outcomes.
Key responsibilities include conducting risk assessments, making recommendations, performing monitoring, and negotiating terms and covenants.
You will build relationships with clients and internal teams, develop high-quality analyses, and be involved in developing and implementing credit policies/frameworks and other portfolio management activities.
Requirements:
* Strong analytical skills to provide concise and insightful risk evaluations
* Bachelor's degree in finance, economics, accounting, or a related quantitative discipline, or 2 years of relevant experience in the financial services industry
* Proficiency in using Bloomberg, Word, Excel, and PowerPoint
* Able to identify and evaluate key risks arising from proposed transactions and potential mitigants
* Strong collaboration skills, as you will partner with colleagues, stakeholders, and external clients
What we offer:
* A dynamic work environment that encourages innovation and teamwork
* Ongoing training and development opportunities to enhance your skills and knowledge
* A competitive compensation package
About us:
We are committed to providing a working environment that values diversity, equity, and inclusion. We encourage applicants from all backgrounds and aim to provide reasonable adjustments during recruitment and employment.