Overview
In this role you support the global markets sales credit risk portfolio as part of the first line of defense, helping oversee counterparty risk exposure and maintain strong controls. You collaborate with Sales & Trading, Business Management, and Credit Risk Management to deliver a best-in-class client franchise while driving risk-aware decisions. You will manage daily activities, monitor framework adherence, and contribute to MI reporting and client restriction controls. This position offers growth through impact on risk management in a dynamic environment.
Pay / Benefits
- competitive total rewards package
- comprehensive health care coverage
- retirement savings plan
- tuition reimbursement
- mental health support
- financial coaching
Responsibilities
- Support daily activities related to counterparty exposure for global markets
- Manage workload, draft team procedures, and meet deadlines
- Adhere to risk management frameworks for exposure, controls, and governance
- Monitor and escalate material deviations like limit breaches and risk concentrations
- Support refreshed client data models for ongoing risk monitoring
- Assist design and support of MI reporting and updates to senior heads and control forums
- Support governance and escalation of client restriction control monitoring
Key requirements
- Bachelor’s degree or equivalent
- Extensive experience in financial services focused on Credit/Market Risk Management or Sales & Trading
- Strong skills in Excel, PowerPoint, Word, Python, Alteryx, Tableau, LLM and similar applications
- Excellent analytical, problem-solving, and time management skills
- Strong control mindset and ability to work in a dynamic environment
- Results-driven, detail-oriented, and able to overcome obstacles
- Ability to influence diverse groups to deliver high-quality, timely results
- Excellent verbal and written communication
- Influencing skills
- Ability to work under pressure
- Excel
- PowerPoint
- Word
…
