Senior Credit Risk Analyst

il y a 4 jours


Luxembourg MCD Team Temps plein

MCD Team est une Société de conseils à taille humaine créée par des Consultants pour des Consultants. Elle s’appuie essentiellement sur un mode collaboratif où les consultants:

- Sont forces de proposition pour faire évoluer l’entreprise
- Sont impliqués dans le processus de recrutement des nouveaux collaborateurs
- Participent au développement commercial

**Your responsibilities**:

- Revise and/or implement policies and credit procedures in conformity with group instructions and EU applicable laws;
- Responsible for credit risk identification, measurement, monitoring, report and control in HQ and branches;
- Lead quarterly credit risk analysis and reports and ad-hoc reports;
- Support the development and maintenance of credit risk alert management using set of indicators (i.e. SICR, UTP);
- Manage, optimize back-test and implement the risk classification standards and ongoing quarterly production of IFRS9 ECL, whilst providing insight and analytical commentary to management body (good command in VBA is an advantage);
- Follow the new regulations and lead the implementation and internal coordination regarding guidelines on loan origination and monitoring, defaults, forbearance, IFRS 9 and other credit related regulations, such as leveraged finance;
- Maintain Bank's watchlist and perform industry/customers screening to identify potential risk;
- Develop and carry out Credit risk stress testing to assess how economic/geological conditions can deteriorate overall credit risk profile at loan book/industry/geo area/customers' level/etc and assess the impact to provision and capital;
- Support the duration management, including: reviewing the duration management reports of customers, monitoring the timeliness of internal rating and credit risk limit update and use of rating model properly, performing credit risk inspections to branches;
- Standby for Risk Transfer Pricing Model optimization, validation and implementation monitoring;
- Assist the Risk Management Department with regulatory/internal projects and additional risk areas.

**Your profile**:

- Master degree in economics, finance or statistics;
- Minimum 5-years experience in risk management with a focus on Credit Risk;
- Fluent in English;
- Deep knowledge of EU regulations related to credit risk (IFRS 9, Forbearance, NPL/etc);
- Excellent problem solving and troubleshooting skills with the ability to exercise mature judgment;
- Excellent analytical & pragmatic mindset combined with relevant organizational skills;
- Collaborative and positive personality, well organized and ability to complete tasks independently.


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