credit risk officer [Luxembourg]


 
    luxembourg centre, centre
    publié il y a 6 jours
    se termine 20 octobre 2023

détails du poste

sommaire

    luxembourg centre, centre

    mission d'intérim
    catégorie
    services
    contact
    valentine ruelle-dieu, randstad luxembourg
    courriel du contact
    office@randstad.lu
    référence
    23282

Did you already think about working for the european investment bank in Luxembourg ? We are looking for a Credit Risk Officer for Corporates

Your role :

Evaluate and monitor the credit risk associated with EIB loan and guarantee transactions, for new and existing, standard and structured/leveraged/subordinated, deals with Corporate counterparts, in accordance with the Bank’s Credit Risk Guidelines (CRG) and GR&C procedures.

  • Assess credit risk, formulate independent opinions and recommendations on new lending proposals, validate counterpart ratings and credit limits, and determine loan grading and risk pricing of these transactions
- Review and validate credit reviews on the existing loan portfolio, as performed by the portfolio monitoring team (internally known as PMM - Portfolio Management and Monitoring)
  • Extensively collaborate with EIB colleagues involved in individual loan transactions, providing advice and solutions to structure and mitigate credit risks in leveraged/structured/subordinated transactions
  • Review legal documentation from a credit risk standpoint ...
  • Propose security/collateral requirements for new transactions and opine on any credit risk related contractual amendments pertaining to her/his allocated portfolio
  • Ensure compliance with limits for counterparts, sectors and specific types of transactions
  • Closely follow/anticipate market developments/trends in the sectors pertaining to her/his responsibility and proactively work through her/his portfolio
  • Deal with credit risk related enquiries from within the Bank and provide solutions
  • Ensure good cooperation with internal colleagues and clients

Your profil :
  • University degree, preferably at Masters level, ideally in Finance/Business or any related subject. Recognized financial qualifications, such as the CFA, would be advantageous
  • Significant relevant experience, of which at least 5 years at Officer level, ideally gained in an international Corporate/Investment Bank/Fund and/or within a rating agency and with a strong expertise in financial analysis/modelling.
  • Exposure to corporates in a variety of sectors (industrials, infrastructure and/or utility sectors) and of various sizes would be an advantage
  • Relevant exposure to structured transactions including high-yield/sub-investment grade debt and/or subordinated/junior debt financing, and asset-backed operations, would be an asset. Experience of Mid-Caps credit risk assessment is preferred.
  • Experience of Rating Agencies’ rating criteria and methodologies would be an asset
  • Knowledge of risk-pricing techniques, as well as corporate internal rating and recovery models is advantageous
  • Proficiency in reviewing and commenting on loan documentation (including complex legal structures)
  • Proven track record in credit risk policy development
  • Excellent knowledge of English.

voir plus

    expérience

    EXPERIENCE +5 ANS

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