Job Description

Job Description
JOB SUMMARY
The role holder will be responsible for proactively managing the credit risk (monitoring and analysis) of a complex portfolio of Global Banking (GB) accounts in close co-ordination with the originating deal team
Manage respective Portfolio
RESPONSIBILITIES
Strategy
Ensure forward looking Credit analysis and make recommendations to actively sell down/Credit insure riskier assets in the book.
Ability to analyse Risk/Return analysis and optimise profits (own portfolio as well as Directs (as applicable)). Recommendations to be based on forward looking risks (driven by CG downgrades and hence incremental Credit losses, stress tests,etc)
Ability to support on packaging deals with the distribution / securitisation teams for Funded/Unfunded Risk Participations or synthetic sell downs (eg. CLOs)
Ability to work closely with SAG/ SAR and the respective GB product to ensure that stage 3 ECLs are reasonable and arrived logically with realistic...

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