This is an intermediate-level position responsible for reviewing & challenging credit proposals, recommending for senior approval and monitoring the portfolio to identify credit migration as part of the Corporate Credit Risk Management in Turkey. The overall objective of this role is to manage Citi's portfolio exposure to clients and counterparties globally.
Responsibilities:
- Analyze credit risk and provide credit recommendations and guidance to senior risk manager
- Apply understanding of inherent credit risks for a range of clients and banking products including lending, structured/acquisition finance, and capital markets transactions
- Analyze transactions and assist in structuring transactions to contain Citi’s credit risk within acceptable parameters
- Coordinate and review client / portfolio reviews and stress tests
- Produce credit and exposure analyses to ensure aggregate risk exposure to customers remains appropriate to credit standing
- Ensure the formation of adequate management and controls in order to make sure that new products or services are in compliant with the Bank’s risk strategies, policies and procedures and necessary approvals are obtained before being applied. Appropriately assess risk when business decisions are made, demonstrating particular consideration for the firm's reputation and safeguarding Citigroup, its clients and assets, by driving compliance with applicable laws, rules and regulations, adhering to Policy, applying sound ethical judgment regarding personal behavior, conduct and business practices, and escalating, managing and reporting control issues with transparency, as well as effectively supervise the activity of others and create accountability with those who fail to maintain these standards.
Qualifications:
- 10+ years of relevant experience especially in covering large and complex underwritings, capital commitments, derivatives with multi-industry experience
- Experience in and exposure to global credit risk management standards
- Ability to understand capital markets products and complex financing and product structures
- Ability to provide strategic insights and strong sensitivity to macro and regulatory issues, and impact of such issues on the various Risk families
- Ability to discuss and address issues associated with the allocation of risk assets and risk capital in partnership with banking and product organizations
- Demonstrates strong ethics and integrity
- Ability to see the ‘big picture’ in a complex environment
- Can make decisions under pressure and short timeline
- Excellent verbal & written communication skills. Active listening skills
Education:
- Bachelor's degree/University degree or equivalent experience
- Master's degree preferred
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Job Family Group:
Risk Management
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Job Family:
Credit & Portfolio Risk Management
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Time Type:
Full time
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