We are currently seeking an experienced professional to join our team in the role of Manager Risk Reporting & Analysis. Role purpose: Wholesale Credit Risk (WCR) measures and monitors global credit risks arising from lending and trading activities as well as providing credit approval for corporates and financial institutions. The Risk Reporting team within WCR supports portfolio analysis and monitoring, produce reports for Risk Management Meetings and Board meetings. It also monitors the credit quality, identifies, measures and controls credit risk throughout the institution by participating in credit risk projects Main activities: Produce and support Wholesale Credit Risk reporting & analysis including: Portfolio monitoring, the identification of and setting controls for Concentrations of Credit, the production of periodic & ad hoc MI, written commentary for Risk Committee papers and presentations, Audit, Regulatory, and Group response support, specialized & event driven analysis, and the development and build out of risk system architecture. Work on ad-hoc requests from onshore business partners to provide data, report and analysis based on business and Senior Management requirements. Prepare the monthly inputs for the Risk Management meetings and Board meetings. Assist credit and the wholesale businesses by providing accurate and useful risk management tools. Regularly manage multiple deadlines and competing priorities. Identifies measures and controls credit risk throughout the institution by participating in credit risk projects. Understand Credit Policy, procedures and guidelines to account for changing regulatory, economic and political environments. Analyses related reports to manage risk. Qualifications: BE/BTech/ MBA/ MCA /M.Com/ CA-Inter or related field Skills: Excellent analytical skills including analytical languages (SQL/ SAS/ Python etc.) is a must. Experience working with MI visualization tools such as Business Objects/ Tableau / Qlikview etc. Advanced MS Excel proficiency and intermediate proficiency on other MS office suite applications. Be change oriented and able to cope with pressure and tight deadlines Ability to deal in a multi-stakeholder relationship in a complex environment Good communication skills (oral and written) and good interpersonal skills with positive attitude are essential. Attention to detail and accuracy. Ability to prioritize effectively and meet tight deadlines as required. Experience: Experience in corporate banking / wholesale risk management/ portfolio management in multiple corporate sectors/ geographies. Professional experience in a financial services or consulting firm. Willing to work with colleagues in other areas/time zones where appropriate Prior experience in dealing with virtual business partners across the globe
Manager Risk Reporting & Analysis
EMPRESA CONFIDENCIAL
méxico, méxico
Publicado hace 7 días
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