Banque Internationale à Luxembourg, a leading multi-business bank in the Grand Duchy of Luxembourg, operates across retail, private and corporate banking segments. The bank prioritizes responsible and sustainable practices as part of its business strategy.
Key Responsibilities
* Evaluate risks associated with counterparties and transactions to inform decision-making processes.
* Conduct financial statement analyses to produce internal credit ratings for counterparties.
* Review profit & loss accounts, balance sheets, cash flow projections, and business plans to ensure accurate risk assessments.
* Collaborate closely with front office teams to develop comprehensive credit proposals.
* Draft detailed credit files to present risk assessments in credit committees.
Required Skills and Experience
* A Master's degree in Corporate Finance, Management, or a related field is essential.
* Initial experience in credit analysis or a front-office/structuring role within corporate financing is preferred.
* Proficiency in banking products tailored to corporate or institutional clients is required.
* Fluency in French and English; proficiency in German is an asset.