Detalhes da oferta
Descrição:
Excellent opportunity in the Global Financial Services sector!
We are currently hiring a Model Risk Governance Reporting Analyst for a French Investment Bank based in Porto.
We will only consider English Cv's.
O que terás de fazer
-Prepare written risk opinions and analysis; articulate a convincing case in support of the risk opinion; and challenge the First Line of Defense analysis when appropriate.
-Present to Senior Management and Credit Committees when required.
-Conduct client due diligence calls or visits when appropriate; professionally represent the bank with clients.
-Recommend Credit terms and conditions within Trading Documentation.
-Stay connected with industry trends and macro issues which may impact the portfolio; be able to recommend changes or action impacting specific clients or groups of clients.
-Have a good understanding of the regulatory environment that each of our counterparts operates in.
O que precisas de garantir
-Master’s Degree in Finance, Accounting, Economics or other business-related discipline.
-Must be fluent (written and oral) in Spanish and English.
- Must be proficient in MS Office products including extensive knowledge of MS Excel.
-Minimum 8-10 years of previous credit experience that has preferably included the review of trading limits to financial institution counterparties.
-Previous experience in a financial institution (a plus).
O que te proporcionamos
Opportunity to be part of an ambitious and growing project, with a very structured career plan.
Responsabilidades
O que terás de fazer
-Prepare written risk opinions and analysis; articulate a convincing case in support of the risk opinion; and challenge the First Line of Defense analysis when appropriate.
-Present to Senior Management and Credit Committees when required.
-Conduct client due diligence calls or visits when appropriate; professionally represent the bank with clients.
-Recommend Credit terms and conditions within Trading Documentation.
-Stay connected with industry trends and macro issues which may impact the portfolio; be able to recommend changes or action impacting specific clients or groups of clients.
-Have a good understanding of the regulatory environment that each of our counterparts operates in.
Requisitos
O que precisas de garantir
-Master’s Degree in Finance, Accounting, Economics or other business-related discipline.
-Must be fluent (written and oral) in Spanish and English.
- Must be proficient in MS Office products including extensive knowledge of MS Excel.
-Minimum 8-10 years of previous credit experience that has preferably included the review of trading limits to financial institution counterparties.
-Previous experience in a financial institution (a plus).
Condições
O que te proporcionamos
Opportunity to be part of an ambitious and growing project, with a very structured career plan.
Distrito | Porto |
---|---|
Local | PORTO |
Sector de actividade | Contabilidade / Finanças |
Tipo de contrato | Full-time |
Tipo de oferta | Emprego |
Contactos |
Clan by Multipessoal
Av. D. João II, n.º 45 8º 1990-084 Lisboa |