Working alongside the credit trading team, this role will focus on the analysis of high risk and low rated issuers. It will require oversight over total exposure and limits for the Credit Trading Team primarily focusing on Asian markets. This will include but not be limited to the credit risk assessment, legal documentation review and liquidity risk analysis for each trade. An in depth understanding of the capital structure of each issue will be required.
You will have 10 years + credit risk analysis experience with a focus on capital markets and market risk analysis. An in depth technical knowledge of credit and market risk across Asian markets is essential for this role as are advanced Excel, VBA & report automation skills. You will be highly analytical, have the confidence to challenge the status quo and have a proven track record of effectively managing internal and external stakeholders at all levels.