This list contains only the countries for which job offers have been published in the selected language (e.g., in the French version, only job offers written in French are displayed, and in the English version, only those in English).
Embark on a transformative journey, Join us as an Analyst - Wholesale Credit Sanctioning - LevFin - Controls & Governance, where you'll spearhead the evolution of our digital landscape, driving innovation and excellence. You'll harness cutting-edge technology to revolutionize our digital offerings, ensuring unapparelled customer experiences. The person taking on the role will enable the success of the global Leveraged Finance Risk team and senior executives on key projects and strategic initiatives, ensuring projects are on track, monitoring of progress, and provision of regular updates to the executive team. Support to the senior executive with risk and control oversight and assess the effectiveness of internal controls. Provide data management and review, controls and governance oversight and support in ad hoc projects, regulatory reviews, global audits and strategic initiatives. Support data science and analytics opportunities that were identified during controls testing and effectively communicate the same to respective stakeholders.
Job Responsibility:
Analysis of complex financial information and business models of LevFin, SLF, and Hedge Fund clients to assess their creditworthiness, repayment capacity, and potential risks
Monitoring of the performance of the LevFin, SLF, and Hedge Fund portfolio, identifying and reporting early warning signs of potential credit deterioration
Evaluation of the risk profile of each application considering factors like industry trends, borrower financials, collateral, and market conditions
Documentation credit decisions and rationale in a clear and concise manner, adhering to internal audit and regulatory reporting standards
Development and implementation of strategies to mitigate identified credit risks and optimise portfolio performance
To independently assess and make credit decisions for complex financing transactions within the LevFin, SLF, and Hedge Funds sectors, ensuring alignment with the bank's credit risk appetite and regulatory requirements and contribute to the development and implementation of credit risk policies and procedures for the Specialised Sector
Requirements:
Strong knowledge of Excel macros, pivot tables, and PowerPoint integration and presentations
Familiarity with data visualization and dashboard integration with Tableau
Experience with one or more of Python, Alteryx, SQL, VBA or Hypercube
Create dynamic excel workbooks and programs that eliminate the need for repetitive hands-on work
Able to work independently and as part of a team, including within global and virtual teams
Preferred to have experience of controls testing/internal audits against risk and controls frameworks and testing methodologies
Good control and service delivery mind-set, with a strong understanding of the importance of creating and maintaining a robust governance and control environment
Possess good interpersonal, verbal and written communication skills, and can clearly articulate complex concepts and ideas
Nice to have:
Proven experience in Risk and Control testing, data management or internal controls of a major banking/ financial services organisation
Able to identify critical, high priority activities and adjust priorities for self and others
What we offer:
modern workspaces, collaborative areas, and state-of-the-art meeting rooms
wellness rooms, on-site cafeterias, fitness centers, and tech-equipped workstations