Posted By
Posted in
Banking & Finance
Job Code
1645355

Key Responsibilities
- Support portfolio maintenance activities including portfolio administration, monitoring of facility documentation and ensuring the integrity and accuracy of system data;
- Undertaking financial and credit risk analysis for the preparation of new credit submissions and annual reviews of existing transactions.
- Continuously seek to optimize the return on capital deployed and resources invested by the business.
- Workflow management between CME, credit and client support teams, including IB services, to achieve a seemless client services; and
- Maintain an ongoing awareness of NAB's credit policy, credit and market risk and internal risk appetite.
Required Experience:
- Relevant years of experience in corporate and institutional banking, with experience in the financial institutions sectors (Banks and Sovereigns) as a requirement, including hands on exposure to credit analysis (PD, and LGD) and Credit writing.
- Proficient in excel with moderate to advanced Excel skills.
- Strong team player with experience collaborating in dynamic environment across time zones.
- Prior experience in Credit writing, credit rating with a solid understanding of portfolio management.
Essential Capacities:
- Strong numerical and financial analysis skills;
- Strong customer & compliance focus and attention to details
- Writing of credit submissions, annual review of papers clearly and succinctly.
- A sound understanding of debt (including trade finance) and financial market products;
- Strong research skills and be adept at proactively sourcing and analysis information on macro risks and the regulatory environment across multiple jurisdictions; and
- Understanding of risk management.
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Posted By
Posted in
Banking & Finance
Job Code
1645355