Analyse counterparty credit risks of large portfolios of corporates and financial institutions.
Develop stochastic models that estimate risk exposures to pre-determined scenarios.
Conduct periodic reviews of counterparty credit risks using internal models and external data.
Maintain accurate and up-to-date portfolio data in risk systems.
Assist the head of credit risk analysis with improving risk procedures.
Ensure ongoing and consistent portfolio reporting to key internal and external stakeholders
The Portfolio Analyst will have primary responsibility for portfolio risk analysis including the following:
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