Credit Reviews & Analysis: Assist the team in conduction credit reviews (Annual & Adhocs), work to involves the assessment & recommendation of internal credit limit appetite and assignment of internal credit ratings through business, financial and industry risk assessment.
Credit Risk Management: Required to manage the allocated portfolio and help the global credit officers in tracking market developments and other events on a regular basis . Being on top of the exposure and overdue related to the portfolio. This work also includes
Credit Risk Administration: Assist the wide team in managing the credit exposure & data on our central and monitor and be involved in adhoc projects related to management reporting of the key credit portfolios.
Required qualifications
Qualification: Either of MBA (for a renowned institution) / CA (First Attempt Pass) / CFA (All levels cleared, First Attempt)
Experience: 1-3 years of experience in credit risk roles within a blue-chip bank, trading house, or financial institution
Handled Mid & large corporate clients and / or Financial Institution / Banks (both are preferred)
Requirements
System - Proficient in Excel, Power Point and Word/Outlook. Skills on SQL, Python, Power BI etc would be a great add-on. Also competency over tools like S&P Capital IQ, Bloomberg etc.
Attributes for success
Mature individual with an ability to assimilate lots of information, think clearly & make recommendations &s presentations in a clear and concise manner.
Reliable & thorough in the work, with an eye for detail; hard working and flexible / ability to work under pressure; responsible, confident and effective communicator; Able to work independently.
Excellent English verbal and written communication
Department overview
Equal opportunity employer
Benefits
Flexible schedule
Additional Information
Main purpose
We are seeking to hire a highly analytical and driven professional to join our Credit Team in Mumbai. The successful candidate will work as part of a group responsible for reviewing and approving credit risk associated with complex transactions across multiple products and business segments, including Metals, Gas & Power, Oil. The role will involve evaluating credit and performance risks on both short-dated and longer-tenor trades, negotiating directly with external counterparties, and collaborating closely with commercial teams to ensure that exposures remain within acceptable limits. This will include the use of appropriate credit risk-mitigation tools and structures where required.