PandoLogic
Senior Credit Officer (SG Americas Operational Services, LLC, New York, NY)
Responsibilities
Perform credit assessment of counterparties and underlying assets, providing detailed explanations and risk factor analysis.
Create approval or recommendation based on proposed limits and tenor, documenting recommendations for final decisions.
Monitor credit quality of the portfolio, conducting portfolio reviews and early detection of deteriorating credits.
Track credit and market trends on individual asset classes and overall portfolio quality.
Participate in quarterly watch list reviews and assist the Portfolio Analysis Group in preparing reports for RISQ management and regulators.
Validate Obligor Risk Ratings, Basel II parameters (LGDs), and other financial metrics, contributing to the bank’s credit policy guidelines and overall risk appetite.
Coordinate internally and with other geographies/departments on policy projects, crisis management, regulatory changes, and financing initiatives.
Qualifications
Bachelor’s degree or U.S. equivalent in Finance, Financial Engineering, Economics, or a related field.
Minimum 5 years of professional experience as a Finance Analyst, Credit Analyst, or related role involving credit or investment risk analysis.
Extensive experience (5+ years) analyzing financial institutions, complex financial structures, legal documentation, investment/trading strategies, and associated risks.
Experience (5+ years) analyzing financial sponsor related activity, collateral stress testing, cashflow waterfalls, and legal documentation across structures.
Experience (5+ years) performing quantitative and qualitative counterparty credit risk analysis for trading activities including Credit, Interest Rates, Equity, Commodities, and FX.
Experience (5+ years) performing product control and credit risk analysis and validation for fixed income or derivatives trading desks.
Contact Please email resume to:
us-humn-recruitment@sgcib.com
and specify AdCode
SMCK
in the subject line.
#J-18808-Ljbffr
Responsibilities
Perform credit assessment of counterparties and underlying assets, providing detailed explanations and risk factor analysis.
Create approval or recommendation based on proposed limits and tenor, documenting recommendations for final decisions.
Monitor credit quality of the portfolio, conducting portfolio reviews and early detection of deteriorating credits.
Track credit and market trends on individual asset classes and overall portfolio quality.
Participate in quarterly watch list reviews and assist the Portfolio Analysis Group in preparing reports for RISQ management and regulators.
Validate Obligor Risk Ratings, Basel II parameters (LGDs), and other financial metrics, contributing to the bank’s credit policy guidelines and overall risk appetite.
Coordinate internally and with other geographies/departments on policy projects, crisis management, regulatory changes, and financing initiatives.
Qualifications
Bachelor’s degree or U.S. equivalent in Finance, Financial Engineering, Economics, or a related field.
Minimum 5 years of professional experience as a Finance Analyst, Credit Analyst, or related role involving credit or investment risk analysis.
Extensive experience (5+ years) analyzing financial institutions, complex financial structures, legal documentation, investment/trading strategies, and associated risks.
Experience (5+ years) analyzing financial sponsor related activity, collateral stress testing, cashflow waterfalls, and legal documentation across structures.
Experience (5+ years) performing quantitative and qualitative counterparty credit risk analysis for trading activities including Credit, Interest Rates, Equity, Commodities, and FX.
Experience (5+ years) performing product control and credit risk analysis and validation for fixed income or derivatives trading desks.
Contact Please email resume to:
us-humn-recruitment@sgcib.com
and specify AdCode
SMCK
in the subject line.
#J-18808-Ljbffr