Key Responsibilities:
1)Rating Assessment Analyse financial profile and operating performance, assess& prepare corporate’s rating, and manage the rating validation process.
2)Risk Approval In cooperation with bankers, manage the approval process for group limit, local facilities and transactions. This includes assessment of the deliverability and suitability of the business plan, structure, conditions, risk mitigation and making recommendation, as appropriate.
3)Portfolio Monitoring Post-approval monitoring of transactions and lines, control of global exposure, facility utilization and early alert information as well as rating update.
4)Risk Culture Contribute to the Santander culture that risk is everyone’s responsibility.
Requirements:
1)University degree or equivalent is required.
2)Around 2 years of risk management experience including credit risk analysis, business case evaluation, approval process experience.
3)Candidates with no prior experience will be also consider based on soft skills and work attitude.
4)Financial analysis.
5)Languages: good English (both speaking & writing) required.
6)Sound Excel, Word and PowerPoint skills.
7)Presentation and communication skills will be highly valued
8)Entrepreneurial spirit, ability to work independently, team work attitude and flexibility are key soft skills for the post.