Posted By
Posted in
Banking & Finance
Job Code
483678
Required Education
- MA Eco / MBA / CA / CFA
Primary responsibilities include:-
- Counterparty credit risk assessment
- Manage a dynamic portfolio of Corporates, Financial Institutions, and Non-Bank FI's
- Financial analysis of Balance Sheet, Income Statement, Cashflow Statement, Notes to Financial Accounts and evaluation of financial ratios
- Prepare Financial Spreads, Market Data, Peer Analysis and Cashflow Models/Forecasts
- Determining internal ratings for Large Corporate & Investment Bank portfolio
- On-going Monitoring & Surveillance of assigned industry/portfolio, including rating changes, financial/industry development, news events etc.
- Develop Industry / Country expertise as relevant to assigned portfolio
Required Experience / Skills
- Strong analytical skills, knowledge of financial markets and economic/industry trends
- Preferably strong accounting background, knowledge of financial ratios, financial statement analysis (GAAP, IFRS/IAS)
- Strong written and verbal communication skills (must be fluent in English)
- Must be a self-starter, be pro-active in bringing new ideas and solutions to the table
- Team player attitude and flexibility are essential
- Demonstrate ability to manage own time effectively, multi task, quickly absorb ideas and facts while maintaining a strict eye for detail
- Excellent organizational and administration skills
- Fluency / proficiency in a main European language or Japanese would be an advantage, although not a requirement
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Posted By
Posted in
Banking & Finance
Job Code
483678