Beschreibung
For a long-term project starting from January 2021 at our client ‘s site, an international bank based in Zurich, we are looking for an experienced
Credit Risk Manager - Lombard Lending
In this challenging role, you will support projects as subject matter expert on Credit Portfolio Management in a global front to back program for Lombard lending. This program will implement an automated and streamlined Lombard offering on a state-of-the-art risk platform.
Please be aware that this is a role within a sensitive environment. You will have to undergo a background screening, which takes some additional time. We therefore, prefer local candidates.
Your Qualifications:
- Several years’ experience in credit risk management, preferably in credit portfolio management (including credit stress testing, concentration risk management and development of risk appetite framework) or as a credit officer
- High analytical skills, ability to understand complexities within the credit portfolio and the impact of data sourcing and exposure calculations
- Excellent skills in MS-Office, particularly Excel and handling of large data sets
- Independent and systematic working style, high degree of flexibility, hands-on approach and high drive for innovation and changes
- Basic coding skills in at least one programming language is an asset
- Experience in Wealth Management products
- Very good stakeholder management with superior communication skills
- Fluent in English, German would be an asset
Your Responsibilities:
- Develop and assess views of the Divisional credit risk portfolio composition and its risk drivers, undertake analysis and investigation into key risk concentrations
- Monitor emerging issues in credit risk and changes in the market, which could impact the Divisional Credit Portfolio
- Lead credit risk analyses to anticipated event risks including stress and scenario analyses
- Support country risk framework; cover report sign offs, challenge and enhance current status quo and address Credit Portfolio Management requirements in Divisional and Global projects
- Support the Divisional Head of Credit Risk Portfolio Management to respond to queries regarding dimensions and nature of divisional credit risk exposure
- Support regulatory or internal/external auditor queries and delivery of regulatory or audit remediation
- Gathering/documenting business requirements, testing and/or facilitating discussions on the target operating model
- Provide transparency on the credit portfolio and identify risk
- Define, review and monitor the Credit Risk Appetite Framework
- Provide expertise for risk appetite planning and stress testing as well as analytics on the credit portfolio to stakeholders
- Validate reports and ensure data quality and providing subject matter expertise in several divisional and group led initiatives/projects
Off to new destinations! Apply now directly on or contact our team on .