About the Credit Risk Analyst Role:
In this role, you will review and monitory client portfolios for risk levels and implement margin call policy.
Key Responsibilities:
Monitor clients risk portfolios and implement margin calls as well as recommend mitigation resolutions to management
Analyse and review credit limit applications to create relevant trading limits for our various clientele
Prepare and execute periodic reviews of counter analysis to share across to regulators and internal senior stakeholders
Ensure operations manual is updated and enforced in a timely manner
Assist in ad hoc tasks and projects as assigned
To succeed in this Credit Risk Analyst position, you must have a bachelor’s degree and a minimum of two years of working experience in a brokerage or financial services with exposure to credit risk control.
Key Requirements:
Bachelor’s degree
Minimum two years of working experience in a brokerage with credit risk control
Experience in Options and Futures risk management
Strong interpersonal and critical thinking skills
Stakeholder management skills is required
Proficient in MS Office applications
This is an excellent opportunity to advance your career with a fast-growing securities broker.
If you are driven and want to take the next step in your career, this Credit Risk Analyst role is right for you