As a member of the Risk Reporting, you will:
- Prepare regular and time-sensitive ad-hoc deliverables to both the regulators and senior leadership
- Collaborate with senior portfolio managers
- Coordinate with the risk management, technology, finance teams to ensure the risk portfolio information is accurate
- Liaise with global risk portfolio managers, Finance, Technology, Audit, and other areas across the firm
Qualifications
- 4+ years of professional experience
- Bachelor's degree in relevant field
- Master's degree is highly preferred
- Advanced professional experience with Microsoft Excel, Access, Visual Basic and/or Power Point
- Working understanding of credit risk measures
- Excellent communication skills