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    Mis à jour le jeudi 11 mars 2010   

 

Voir les 235 annonces d'emploi de SELBY-JENNINGS-LONDON


Credit analyst needed to join leading exposure management team for large investment bank in London, £35,000–£40,000





The bank is a reliable partner and effective provider of financial services to private customers. They are the best bank from the point of view of SMEs, and as such, they successfully support their customers' business activities–worldwide.

Their customers benefit from a comprehensive network of branches with personalised advisory and other services.
The bank has a direct global presence in the key business and financial centres. In addition they co-operate with several thousand correspondence banks all over the world.

The role:
The purpose of the role is to be the risk partner for the allocated parts of the bank, supporting and assisting these business areas to achieve their goals, by balancing risk reward and executing daily activities in an independent, controlled and compliant manner.
The person fulfilling this role will be responsible for interacting and partnering the business in order for them to achieve their strategic objectives.

Responsibilities:
-Provide front-office support for vanilla and structured transactions via the traded Products Desk,
-Central point of contact for all front-office and Risk Management requests with transaction information, risk assessment and current issues,
-Provide risk calculations (and presentation/explanation as required) for new transactions,
-To provide methodology support across all Risk Management for new products, and structured transactions, and to participate in development of new methodologies, policies, and risk systems,
-Planning and managing of risk relevant projects including relevant analysis,
-Participate in any relevant internal/external audits,
-Provide assistance and training to front-office of limit monitoring IT systems,
-Escalate relevant issues/disputes/conflicts with front office to F3/L3 team leader,
-Front Office in terms of dealing with trade enquiries and proposing solutions /ways forward where required,
-Participate in development of risk methodologies requiring solid mathematical background,
-Demonstrate a good understanding of traded products, collateralization and associated credit terms in legal documentation.

Ideal Profile:
-Degree educated (min 2:1),
-Strong analytical skills with gained in either a financial institution or industry related organisation,
-Exposure to working with both vanilla and exotic products,
-You will posses strong commercial orientation and be a lateral thinker with proven ability to undertake comprehensive industry research and analysis,
-Client focused with persuasive communication skills both written and verbal, confident when being challenged,
-A collegial team member who builds strong, open dialogue based relationships with clients and colleagues,
-You will be self-directed with the ability to prioritise and meet demanding deadlines.
-Proficient financial modelling.

All applications by mail.

Apply by email.
Please do not modify the subject of the mail or your application will not be considered.
 

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