As a Credit Risk Trade Analyst, you will enjoy a key role within the team, duties will include:
Calculating live trade credit risk across all markets (FX, rates, equities, fixed income, commodities…) and financial products (loans, derivatives,)
Checking for any discrepancy between pre and post trade analysis
Maintain database of exposure corrections across portfolios on a regular basis
Communicating with CRM and FO to explain credit risk issues and the need for potential ad-hoc enhancements
· Performing ad-hoc analysis.
Interested candidates must be able to demonstrate the following qualifications and competencies:
Strong technical skills, thorough knowledge of credit risk and derivative products with relevant banking/financial products experience
Bachelors’ or Master’s degree in quantitative or relevant discipline preferred
Knowledge of database and mainstream programs (Access/Excel) and some programming skills (VBA, C++, etc.) is an advantage
Ability to work well under stress and tight timelines with a minimum amount of supervision
Strong communication skills with the ability to express complex financial instruments in simple terms.