Credit & Portfolio Analyst 2 - Financial Institutions Risk Management (Buffalo, NY)-09022370 Job Details
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| Credit & Portfolio Analyst 2 - Financial Institutions Risk Management (Buffalo, NY)-09022370 (Ref: 100218-KD-01) |
| Sector, Sub Sector: |
Global Corporation
,
Captive Financial
|
| Risk Type: |
Credit
|
| Expertise: |
Risk Manager
|
| Company: |
Citigroup
|
| Location: |
Buffalo
,
New York
Americas, United States
|
| Employment Type: |
Permanent
|
| Job Description: |
Description The Financial Institutions Risk Management department assesses and approves specific product risks and analyzes, monitors and approves credit for product-managed clients. The key objective of the Buffalo office is to minimize credit losses and service the product businesses and credit centers we support. This is accomplished by proactively monitoring and allocating credit in an efficient and effective manner. The team also undertakes analysis/investigation where required to ensure exposures are properly reported. They work closely with the credit officers in NY and London as well as the industry managers to facilitate portfolio management. The team performs daily account maintenance for transactions that are either unknown or unmatched. In addition, they manage, research and escalate issues as needed to resolve unlinked trades. Description and Responsibilities:
* Pro-actively investigates non-credit sensitive activity for various products (CLS Equity, International Equity Finance, Futures, International Stock Loan, etc.) * Investigate, identify, advise and link credit sensitive trades that are either unknown or unmatched * Produce daily and weekly credit risk reports, which report and trades that require further investigation. * Support Credit Officers and analysts by providing standard and ad hoc reports through the maintenance and manipulation of various data sources including Microsoft Access * Undertake analysis/ investigation where required to ensure exposures are properly reported. This may include running queries from various credit systems, and interacting with Sales and Trading as well as Credit. * Maintain various reports to enable analysts to manage their portfolios efficiently and resolve excesses in a timely manner. * Develop an understanding of financial markets and factors that affect the extension of credit to varied clients. * Develop an understanding of how capital markets transactions generate risk exposure and how this is managed. * Gather required information in order to assist in the credit review process.
Qualifications
* Bachelors Degree, preferably focusing in Business, Finance, or Economics * 1-4 years of previous financial services experience; Credit Risk or Risk Management experience is not required but preferred * Candidate must have advanced knowledge of Microsoft Excel * The ideal candidate will have strong quantitative skills; good interpersonal skills; good written and communication skills; and be able to learn quickly * Candidate will pay strong attention to detail, with the ability to recognize reporting and processing errors * Candidate must be able to work as part of a team oriented environment, as well as independently * Ideal candidate will have a proactive approach to problem solving and the ability to meet tight deadlines
|
| Job Ref No: |
100218-KD-01
|