Role summary and responsibilitiesA new hire within this dynamic Global trading and commodity solutions group. Our client work with both corporate and institutional clients across the full commodities cycle, providing trading, hedging and financing solutions. In addition they have a developing business within the clearing sector throughout the European Union.As a Credit Risk Analyst, you will manage diverse portfolio of clients, including utilities, trading houses, funds and mid-large corporates. You will conduct in-depth quantitative and qualitative credit assessments, prepare detailed written analyses and recommendations, set internal ratings, proposing credit limits, and participating in the annual portfolio credit review processes. You will also collaborate with front office and other stakeholders, providing timely risk-based recommendations on new transactions and structures, as well as undertaking regular exposure analysis and risk monitoring.Skills Required2-4 years of relevant experience in Credit Risk related roles, ideally from a financial institution, commodity trading house, fund manager, or rating agency.An ability to communicate effectively at all levels with risk colleagues and front office internal stakeholders.Strong foundation in financial analysis, with an understanding of evaluating company financial statements to determine creditworthinessFamiliarity with over-the-counter derivatives and futures products and an understanding of related credit exposureStrong organisational skills and attention to detail in a fast-paced capital markets and trading environment.