外資系証券会社でのクレジットリスク管理の求人
求人ID:102429
募集終了
転職求人情報
職種
クレジットリスク管理
ポジション
Associate
おすすめ年齢
20代
30代
40代
50代以上
年収イメージ
年収イメージ:800万円〜1200万円(経験・能力を考慮の上当社規定により決定)
仕事内容
Responsibilities:
1) Assess exposure/risk profile of derivative transactions, and recommend risk mitigating factors such as covenants, collateral, and other terms & conditions for derivative transactions.
2) Based on the assessment, approve/reject derivative transactions.
3) Monitor exposure against limits, and take appropriate actions as needed
4) Monitor covenants and other triggers under the transaction agreement
5) Evaluate the creditworthiness of Japanese financial institutions and prepare credit reviews to recommend internal credit ratings and credit risk exposure limits
6) Monitor daily credit events and quarterly financial results of existing clients
1) Assess exposure/risk profile of derivative transactions, and recommend risk mitigating factors such as covenants, collateral, and other terms & conditions for derivative transactions.
2) Based on the assessment, approve/reject derivative transactions.
3) Monitor exposure against limits, and take appropriate actions as needed
4) Monitor covenants and other triggers under the transaction agreement
5) Evaluate the creditworthiness of Japanese financial institutions and prepare credit reviews to recommend internal credit ratings and credit risk exposure limits
6) Monitor daily credit events and quarterly financial results of existing clients
必要スキル
<Required>
- Relevant experience in credit risk management or counterparty portfolio management
- Knowledge of products, such as swaps, options, repo, stock lending, etc.
- Credit analysis skills, with the ability to read and analyze financial statements in Japanese (e.g. Yuka Shoken Hokokusho)
- Japanese language proficiency
- Business level English writing and listening skills; verbal fluency preferred but not required
- At least intermediate skills in computer spreadsheet calculations
- Team player; team orientated
- Bachelor’s Degree and above
<Desired>
- Experience in credit risk management covering derivative transactions with financial institutions
- Strong academic record and evidence of commitment to continuing professional growth
- Experience in a Japanese major bank or a foreign financial institution in Japan
- Relevant experience in credit risk management or counterparty portfolio management
- Knowledge of products, such as swaps, options, repo, stock lending, etc.
- Credit analysis skills, with the ability to read and analyze financial statements in Japanese (e.g. Yuka Shoken Hokokusho)
- Japanese language proficiency
- Business level English writing and listening skills; verbal fluency preferred but not required
- At least intermediate skills in computer spreadsheet calculations
- Team player; team orientated
- Bachelor’s Degree and above
<Desired>
- Experience in credit risk management covering derivative transactions with financial institutions
- Strong academic record and evidence of commitment to continuing professional growth
- Experience in a Japanese major bank or a foreign financial institution in Japan
就業場所
就業形態
正社員
企業名
大手外資系投資銀行
企業概要
大手外資投資銀行。日本企業へのカバレッジ力は外資TOP。
企業PR
業務カテゴリ
組織カテゴリ
備考
クレジットリスクの求人情報
外資系金融機関の求人情報
証券会社の求人情報
転職体験記
- 製造業に対する実行支援を得意とするエンジニアリング企業へ(50代/男性/私立大学卒)
- 金融機関のリスク管理部門にこだわって、グローバルバンクへ(30代/男性/国立大学院卒)
- 希望の職種を限定し、成長中のIT企業へ(50代/男性/国立大学院卒)
- これまでの経験を活かして、サイバーセキュリティ企業へ(50代/男性/私立大学卒)
- 希望する職種にこだわって、大手外資系金融機関へ(30代/男性/国立大学院卒)
- 希望のミドル部門、かつ希望以上の年収の条件で日系信託銀行に内定(30代/男性/国立大学卒)
- 国内系資産運用会社から、国内最大金融グループ系PEファンド運用会社へ(50代/男性/私立大学卒)
- これまでの業務経験を活かして、総合セキュリティサービス企業へ(30代/男性/大学校卒)
- 今までの実務キャリアを活かして、シリコンバレーに本社を置くベンチャーキャピタルへ(60代/女性/海外大学院卒)