London, United Kingdom, £ £ - Annual Annual, Permanent
Description:
We\'re looking for a candidate to this position in an exciting company.
Assessment and recommendation of appropriate rating of FIG clients in a timely manner
Maintenance of EMEA portfolio across MUBK and MUS within areas of responsibility
Minimisation of credit cost
Contribution to development and implementation of credit strategy for FIG sector including assessing and setting risk appetite, underwriting criteria and limits
Management of own workload efficiently while not sacrificing quality
Compliance with all regulatory requirements as well as internal policy and procedure
7-10 years\' experience in credit risk with a focus on FI/NBFI credit analysis.
Strong knowledge of corporate finance, capital markets and credit / market risk principles.
Good product knowledge covering corporate lending, derivatives and trade finance.