от компании (организации): ВТБ Капитал в городе (населённом пункте): Москва, Россия
в отрасли экономики "Банки, инвестиции, лизинг" → "Аналитик"
с заработной платой: по договоренности
Вакансия № 4299569 добавлена в базу данных сайта Работа в Москве и Московской области (МО, Подмосковье): Понедельник, 12 августа 2024 года.
Дата обновления вакансии № 4299569 на сайте Работа в Москве и Московской области (МО, Подмосковье): Воскресенье, 22 сентября 2024 года.
Обращаем Ваше внимание, что на момент обращения к работодателю вакансия № 4299569 может быть уже занята. Администрация сайта Работа в Москве и Московской области (МО, Подмосковье) приносит извинения за доставленные неудобства.
Требования к опыту работы:
3–6 лет
Тип занятости:
полная занятость
График работы:
полный день
Дополнительные сведения о вакансии: Credit Risk Analyst (Financial Institutions)
The Position
The role envisages dual responsibilities.
As part of the Global Credit Risk team, the successful applicant will assume responsibilities for risk management of VTB Capital’s global portfolio of credit exposures, generated with Financial Institutions acting as Borrowers, Counterparties or Issuers.
At the same time, the candidate will become integral part of the Moscow Risk Management team responsible for business initiated and/or booked in JSC VTB Capital.
The role envisages active contribution to improving credit risk management in flow trading business, and requires close team work with Credit Risk Management colleagues based in international offices.
Principal Responsibilities
- Credit reviews of new and existing counterparties/clients/issuers, banks and banking groups all over the globe, and preparing credit risk limit applications;
- Populating and updating static data in risk system, including limits, ratings, transactions tenors, etc.
- Daily monitoring limit excesses, exposure concentrations and early warning signs of credit deterioration;
- Working closely with the Front Office, providing guidance and recommendations with regard to counterparties` credit quality, deal structuring, risk limits, and available risk mitigation factors;
- Contributing to improving internal Credit Risk Framework if required;
- Participating in the credit risk systems roll out if required;
- Participation in group-wide projects.
Key Competencies & Qualifications
- At least 2 years of credit risk management or credit analysis of banks/banking groups experience is a must;
- The applicant is required to have basic knowledge of financial analysis for financial institutions (banks) and banking industry;
- The applicant shall possess strong analytical skills, be ready to work under tough deadlines, and in a very dynamic environment;
- Master’s degree in Finance, Economics or Applied Maths is a must;
- Good command of English language, both written and spoken, is a must;
- Easy-learning, open-mind personality.
Откликнуться на эту вакансию: Credit Risk Analyst (Financial Institutions)
Предыдущая вакансия:
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