Manage a portfolio of counterparty credit risks associated with lending, trading, and investing activities, with the primary objective of assessing and managing risk within acceptable parameters.
Qualifications
Degree:
Business Commerce, or Risk Management, or Finance (MIn)
Additional Information
Experience Required:
1- 2 years experience in thorough conceptual and practical knowledge of credit procedures, policies and standards. Demonstrated ability to understand products and facilities that give rise to counterparty credit risk and appropriately documenting these risks. Understanding of Risk and broader regulatory and compliance requirements.
1-2 years basic understanding of Investment Banking vanilla lending and derivative products and facilities that give rise to counterparty credit risks, including the documentation required/presented to manage that risk.
1-2 Years knowledge of financial markets, global economy and appropriate regional geographies in which portfolio operates.
Behavioural Competencies:
Checking Things
Conveying Self-Confidence
Developing Expertise
Examining Information
Following Procedures
Technical Competencies:
Evaluating Risk Management Effectiveness
Risk Identification
Risk Measurement
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