Risk Management Specialist
1 tydzień temu
We are seeking a highly skilled Risk Management Specialist to join our team in Global Banking and Markets Division. The successful candidate will be responsible for providing credit risk management coverage of a portfolio of clients, assessing counterparty credit and financial strength through fundamental credit analysis using both quantitative and qualitative factors.
This is an exciting opportunity for a motivated individual with experience in credit risk management, financial modeling, and business analysis. As a Risk Management Specialist, you will work closely with our trading documentation professionals to provide outstanding service to our clients, engage with them to understand their trading activity, regulatory obligations, and business strategies.
Key Responsibilities- Credit Risk Management: Assist Policy, Documentation and Outreach Negotiators with credit related questions, exercise judgment, and escalate/negotiate credit risk related terms in legal documents such as ISDA/CSA, GMRA, GMSLA, and other capital market-related legal documentation.
- Review Terms: Review and advise on additional credit terms where such terms can be approved within the first line of defense before raising to second-line defense Credit Risk.
- Policy: Identify new themes and recommend updates to playbooks for second-line defense Credit Risk approval, drive policy change to provide Policy, Documentation and Outreach Negotiators more flexibility to negotiate on certain credit terms.
- Client Experience: Join client calls (as required), bridge the gap between the Policy, Documentation and Outreach function and second-line defense Credit Risk to troubleshoot, facilitate swift outcomes, engage, and partner with sales (as required) to facilitate their conversations with clients and understand the business case for non-standard terms escalated through second-line defense Credit Risk.
- Training and Development: Educate & upskill Policy, Documentation and Outreach Negotiators to increase functional autonomy, develop a deep understanding of our Risk Division and Global Banking and Markets Division Policy, Documentation and Outreach functions, stakeholders, systems, policies, playbooks, and procedures.
- Bachelor's degree or equivalent in an analytical field (finance, economics, business studies, mathematics).
- Three + years of work experience providing credit risk management coverage of a portfolio of clients, preferably within investment banking/financial services sector, assessing counterparty credit and financial strength through performing fundamental credit analysis using both quantitative and qualitative factors.
- Experience in hedge fund, mutual fund, pension fund, private equity, financial institution, and corporate credit analysis across securities financing and derivatives products.
- Excellent interpersonal and communication skills, experience explaining credit issues to both credit and non-credit stakeholders.
We offer a competitive salary of $120,000 per annum, plus benefits including medical insurance, retirement plans, and generous vacation time. Our office is located in New York, with easy access to public transportation.
At Goldman Sachs, we believe who you are makes you better at what you do. We're committed to fostering and advancing diversity and inclusion in our own workplace and beyond by ensuring every individual within our firm has a number of opportunities to grow professionally and personally.
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