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Responsibilities: • Prepare comprehensive credit analysis in order to evaluate the credit risks of proposed transactions. • Prepare written annual reviews of a portfolio of clients and proactively monitor the portfolio. • Assign internal risk ratings in accordance with the firm’s risk rating methodologies. • Effectively communicate recommendations to management. • Review documentation and assist in negotiation of credit terms. • Participate in group or departmental projects. • Interact with marketers and traders as well as senior risk management professionals • Participate in regular industry specific studies and provide opinions on key industry names • Research to identify new methods and/or models for assessing credit risk, to refine and enhance standard credit risk practices Requirements: • 7 - 10 years overall credit analysis experience. Must have experience within insurance sectors. • Ability to analyze and evaluate counterparty risk and financial condition based utilizing quantitative and qualitative data • Broad exposure to bank committed credit facilities, capital markets/traded products. • Knowledge of the accounting, legal and regulatory issues governing relevant sectors • Proficiency in Bloomberg, Factset, and CreditEdge • Solid verbal and written communication skills • BA/BS in Finance, Economics, Math, or Engineering. MBA/ MS preferred For immediate consideration, please forward resume and contact details to: info@ashtonlanegroup.com Ashton Lane Group is a boutique executive recruitment firm serving the Banking, Insurance, and Alternative Investment sectors. For the latest opportunities, visit www.AshtonLaneGroup.com Ashton Lane Group® “A trusted advisor throughout your career”
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