Overview
An exciting opportunity has arisen for a proactive and experienced Analyst to join a growing Risk team. This role focuses primarily credit risk management, assessing the creditworthiness of a diverse portfolio of counterparties and recommending appropriate trading limits.
In addition to credit risk responsibilities, the successful candidate will support liquidity risk monitoring and reporting, playing a key part in strengthening the firm’s overall financial risk framework. This is a crucial position within the second line of defence, ensuring robust oversight and governance across all financial risk areas.
Key Responsibilities
- Manage and monitor a portfolio of around 150–200 counterparties, overseeing new trading requests and conducting regular credit reviews.
- Perform detailed quantitative and qualitative analysis of financial statements to assess creditworthiness.
- Recommend internal ratings and trading limits in line with the firm’s risk appetite.
- Serve as the main risk contact for a designated business area, attending regular meetings to review onboarding and client-related matters.
- Monitor exposures, investigate breaches, and provide commentary for senior management.
- Maintain accuracy of counterparty static data and hierarchy information.
Liquidity Risk
- Support analysis of key liquidity metrics, including Liquid Asset Threshold Requirements.
- Contribute to quarterly Interest Rate Risk in the Banking Book (IRRBB) assessments.
- Assist in liquidity risk calculations for the annual ICARA process.
- Produce monthly and quarterly liquidity management information (MI).
Reporting
- Share responsibility for daily, weekly, and monthly financial risk reporting, such as breach logs, early warning indicators, and key risk indicator updates.
- Identify opportunities to improve reporting processes and enhance data insight.
Other Responsibilities
- Contribute to the development and review of internal credit rating models and related documentation.
- Maintain and update departmental policies and procedures on risk processes and methodologies.
- Participate in testing and enhancement of risk systems and tools.
Skills & Experience
- Minimum 3 years’ experience as a Credit or Financial Risk Analyst managing a portfolio of clients.
- Strong understanding of credit risk concepts across financial institutions, corporates, and funds.
- Excellent analytical and problem-solving skills with strong attention to detail.
- Effective communicator with the ability to engage stakeholders across the business.
- Strong time management skills and ability to work under pressure while maintaining high standards.
- Sound knowledge of risk management policies, processes, and governance frameworks.
Seniority level
Mid-Senior level
Employment type
Full-time
Job function
Analyst
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