Hiring for Country Risk - Analyst/Sr. Analyst
- Monitor economic, political, policy and regulatory trends to better anticipate changes in business environment that will affect Nomura
- Form and communicate relevant opinions through a variety of channels, including written pieces, data visualization and presentations
- Cover a portfolio of countries, sovereigns, sub-sovereigns and/or supranationals and make or recommend relevant risk decisions, including on limits, ratings and transactions.
- Manage data integrity, risk reporting, portfolio metrics, risk framework ratios and risk-return measurement.
- Monitor and upkeep a risk portfolio, meeting internal and regulatory requirements while constantly improving processes
- Support the country risk team with data, organization etc.
Requirement :
- Graduate in Economics, Political Science, Finance or other relevant discipline
- 3-5 years of experience in economic research/credit risk roles.
- Proficient in Microsoft Word, Excel and PowerPoint
- Entrepreneurial mind set, with ability to be resourceful and streamline processes
- Strong analytical skills and flexible thinking across disciplines
- Ability to work independently and as a team member in an unstructured environment
- Excellent communication skills - able to communicate clearly and succinctly, both verbally and in writing
- Self-starter and has willingness to work hard and flexibly in a rewarding environment
- Post-graduate degree
- International experience and languages
- Applied research background
- Advanced data manipulation and visualization skills
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