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Opis ponude za posao

About the job

  • Conducting annual and interim credit reviews while timely producing a factual summary of client's creditworthiness, compliant with Bank's guidelines, with a recommendation on internal rating/GRR, the limits, the legal credit terms, and risk strategy vis-à-vis the client

Your Main Activities Are

  • Institutional Credit Analysis
    • Develop an in-depth understanding of the counterparties/groups under own responsibility, while developing market intelligence through all available sources of credit, economic, and financial information
    • Coordinate with the Coverage and Métiers the credit risk assessment of the counterparties, including any material transaction or risk information provided by the RM Pilot or the Binome
    • Ensuring that the counterparty data management is conducted well, namely on-boarding, collection of documents, and commensurate limits update
  •   Credit Proposal
    • Following the credit risk analysis, timely prepare the CP capturing the recommendations for delegation holders, commensurate with the risk appetite and Coverage commercial strategy, in compliance with Bank's guidelines
    • Formalise the credit decision proposal in the internal credit workflow tool
    • Present the proposals to the delegation holders and/or credit committees for decision
    • Participate to due diligences in collaboration with Coverage and Métiers
    • Manage the annual review process, and simple ad-hoc requests on own portfolio
  • Risk Monitoring and Reporting
    • Continuously monitor the portfolio of counterparties under own responsibility, jointly with Credit Risk Control, monitoring excesses, anticipating risks, and detecting any credit issues that may require a specific review
    • Contribute to periodic and ad-hoc portfolio review and risk reporting for counterparties under scope
    • Contribute to and attend the Watch List and Doubtful committees for counterparties in own portfolio
Uvjeti radnog mjesta

Profile and Skills to Success

  • Bachelor Degree in Finance / Economics / Risk Management and/or Banking    
  • At least 2 years of experience in Credit Risk / Market Risk /Financial Analysis and/or Risk Management
  • Advanced level of English, both written and oral
  • Attention to detail / rigor
  • Ability to synthetize / simplify
  • Communication skills, both oral and written
  • Organisational skills
  • Analytical ability
  • Adaptability and proactivity, coupled with a creative and problem-solving mindset
  • Ability to train and onboard new team members
  • Self-driven, organised, rigorous and reliable
  • Strong interest and familiarity with risk management best practices, financial markets and economic developments
  • Ability to autonomously run/contribute to meetings, projects, seminars, committees or training
  • Good understanding and awareness of the regulatory framework for financial institutions
Ograničenja povezana s poslom

To proceed in our recruitment process is mandatory to have working permission to Portugal (visa or residence permission) 

Informacije o poslu
Vrsta zanimanja:
Područje obrazovanja:
Radno iskustvo:
Work experience is required
Trajanje radnog iskustva:
Up to 2 years
Jezične vještine:
  • English
  • Very good
Raspon plaće (Mjesečno):
Not provided (Gross pay)
Date of expiry:

About organisation

Why joining BNP Paribas?· Leading banking institutionBNP Paribas is a leader in the Eurozone, and a prominent international banking institution with strong roots in Europe's banking history. It has a presence in 65 countries, with around 190 000 Employees – including more than 145 000 in Europe.· Our presence in PortugalSince 1985, BNP Paribas was one of the first foreign banks to… Saznajte više

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