Our client, an Investment Bank based in Luxembourg, is looking for its future Risk Analyst for their Portfolio Credit Risk and Surveillance Unit.
We are specialised in the employment of middle and top management and highly qualified professionals in contracting temporary and permanent placement. Identify opportunities to automate reporting on risks and key risk indicators for the institution’s Debt Risk Portfolio across different areas (such as Securitizations, Portfolio Guarantees, Private Credit and Inclusive Finance), and help implement these solutions.
Review how risk data is used across the organisation, simplify how this data is collected from different systems, and set rules to ensure the information is reliable and easily accessible for all relevant teams.
Support the creation, development and completion of projects that affect the division. This includes helping make sure reporting data is consistent across all debt business lines and aligned with best practices in debt risk reporting.
A master’s degree or additional qualifications (CFA, CAIA, PhD, MSc) are a plus. Strong skills in standard computer tools, especially Excel. Very good command of English; or to discuss other career opportunities we have available, please contact Muriel Mercier as soon as possible - CONFIDENTIALITY ASSURED.