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Hedge Fund/ Financial Institutional Credit Risk Analyst

Job Details

Location: Japan
Salary: Negotiable
Job Type: Permanent
Specialization: Financial Services & Vendors, Banking
Reference: BBBH42414_1671699888
No consultant assigned to this job.

Credit Risk Analyst: Tier 1 Firm - 2 new headcounts

  1. Hedge Fund Credit Risk Analyst:
  2. Financial Institutional Credit Risk Analyst:

Main Task: Reporting to senior management and regulatory agencies, as well as gathering and evaluating data on the projects handled by our global offices. Additionally, the department looks to improve risk techniques, for example integrating ESG viewpoints into the risk management framework

Job Description:

  • Identify credit risk and take appropriate measures to counter potential risks
  • Assess the financial strength of the bank's clients by conducting detailed analysis
  • Credit assessment of key stakeholders
    • assignment of internal ratings
    • approval of credit limits
    • management of credit exposure
  • Conduct Regular reports on the Firm's risk status to upper management
  • Follow up with analysts, rating organizations, and internal audit divisions
  • Assist with the development of risk management framework

Minimal Requirements:

  • Credit Analysis experience 1-2 years
  • Good to have experience in Hedge Fund Management and knowledge of derivatives trading (Hedge Fund position)
  • Good to have experience in Financial Analysis and knowledge of derivatives trading
  • Good teamwork and communication skills
  • Advanced business English and intermediate level Japanese (N2 above) preferable
  • Self-motivated and willingness to learn

If this position is not ideal for you, but you are looking for a new opportunity,please contact us to discuss your options.

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