One of the leading global banks is looking for a Credit Risk Manager. The bank provides a wide range of they offer services such as corporate banking, retail banking, trade finance, and treasury operations one of the world's largest and most influential banks. Thus, this position is responsible for analyzing analyzing credit applications made by the corporate banking and treasury departments, including risk review credit policy and related credit policies of the bank and to provide training on the aforementioned as
teams and trading applications within the corporate bank. This individual will be responsible for leveraging R, or MATLAB for data analysis and modeling. Experience with financial modeling, risk management, and/or environment. Knowledge of banking products, financial markets, and regulatory requirements is a plus.
teams and trading applications within the corporate bank. This individual will be responsible for leveraging R, or MATLAB for data analysis and modeling. Experience with financial modeling, risk management, and/or environment. Knowledge of banking products, financial markets, and regulatory requirements is a plus.
Qualifications, Experience, and Knowledge: 8 years of institutional investment experience with 5 years in compliance with the relevant license to be a rep is required. Good understanding of Institutional Investment
Qualifications, Experience, and Knowledge: 8 years of institutional investment experience with 5 years in compliance with the relevant license to be a rep is required. Good understanding of Institutional Investment
financial diploma/degree Minimum Experience: 3 years' work experience in an auditing environment within
financial diploma/degree Minimum Experience: 3 years' work experience in an auditing environment within