A leading international bank is looking to hire a Manager for its second-line Credit Risk function, which supports the bank’s corporate banking & capital markets business lines. The role is a combination of Credit Risk Reporting/ Analytics and managing a portfolio.Key responsibilities include:Contribute to the quality of the credit portfolio by assisting with assessing, evaluation and providing recommendations upon credit reviews submitted to credit risk.Safeguard the accurate and timely reporting and monitoring of the credit risk portfolio, including credit risk metrics, key risk indicators and risk appetite metrics to senior management and applicable committees.Act as the Secretary to Credit Committee, maintaining accurate and timely record keeping of submissions, preparing Agenda’s and completing comprehensive Minutes for these key governance committees.Promote and uphold effective relations with regulators, auditors, and external partners guaranteeing compliance with regulatory requirements and audit standards.Key requirements include:Graduate degree in business or related with emphasis in analytics, finance.Strong computer literacy and Excel / Power BI skills.Credit experience in a banking or financial reporting capacity.Understanding of IFRS 9 accounting standard.Understanding of loan structures and pricing.
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