Credit Associate, Portfolio Management - London, United Kingdom - eFinancialCareers

Tom O´Connor

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Tom O´Connor

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Description
My Client.

an International bank in the City, seeks a Manager/AD level individual to join their broader Risk & Assurance function in London.


Core responsibilities of the tean involve extracting and interpreting portfolio data in order to provide insight including portfolio developments, sector deep dives and loss forecasting.


The day to day role will include:

  • Support the UK Portfolio Management Unit with interpreting complex data to produce credit insights for UK Executive and Board level papers.
  • Establish collaborative relationships across the Bank's broader functions to develop and deliver on data/reporting solutions
  • Adapt to changing market conditions by designing new credit portfolio reports and implementing these into BAU.
  • Work closely with Finance, UK Risk Analytics and Business Sector Specialists to support the Bank's financial planning process and ICAAP disclosure.
  • Demonstrable experience using statistical packages (Excel,etc.) to analyse datasets and assist with Credit reporting, using own initiative to draw conclusions and present insights/findings
  • Strong knowledge of the loan lifecycle and the relationship between loan quality and IFRS9 accounting standards
  • Experience writing committee reports and the ability to present any relevant findings
  • Experience managing regulatory requests
  • Strong analytical skills with the ability to collect, organise, analyse, and disseminate significant amounts of information with attention to detail and accuracy

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