Customer Risk Management Analyst
This job does not exist anymore.
Try running a new searchor browse our vacancies.
Or fill in the form below to receive job alerts.
Job Type | Contract |
Location | Waterloo |
Area | Belgium, Europe |
Sector | Data & Analytics |
Salary | Competitive |
Currency | GBP |
Start Date | ASAP |
Job Ref | Customer |
Job Views | 18 |
- Description
Analyst, Risk Management – Customer Risk Management
We are looking to recruit for the below role which has been deemed business critical
Approx 3-4 experience
We are looking for someone to start as soon as possible and the likelihood is they will be working Tuesday to Saturday
Location: Waterloo in Belgium
Length of contract: 6-12 Months
Overview
The primary responsibility of the Analyst is to provide support to the risk managers and senior management to help manage my client’s Customer Risk Management function in the region. The role also involves assisting with any CRM data validation or CRM system testing.
Role
The primary responsibility is to support the CRM team to ensure customer risk is appropriately assessed, managed and mitigated in accordance with my client’s policies & procedures and risk appetite framework. This includes, but is not limited to:
- Partner with other regional CRM teams to ensure 24x7 global customer risk exposure monitoring, and participate in decision process when action needs to be taken to block growth in exposure
- Following up with customers and account managers on open settlement positions of customers
- Collaborate with the team and risk managers on collateral discussion, including signature of security agreements, collection of collateral from customers and ad hoc reporting
- Help prepare external and internal CRM-related reporting (SEC filing, audit committee, ad hoc reporting);
- Review financial statements of customers and perform settlement analysis to prepare underwriting documents (presentations, memos) for further review by risk managers;
- Coordinate credit rating agencies enquiries;
- Perform customer ownership analysis;
- Support cross-functional initiatives to deliver on risk goals, policies and procedures requiring credit risk data analytics inputs;
- Participate in various process improvement initiatives and best practices sharing;
- Postgraduate degree in business, economic, econometric or equivalent;
- Experience in credit risk assessment and financial statements analysis is a strong asset; experience in / knowledge of the banking sector are a strong plus;
- Accuracy, self-drive, accountability and sense of urgency
- Outstanding written and verbal English communication skills;
- Advanced Excel, Word and PowerPoint user;
- Positive attitude, strong work-ethic and good sense of humor