Found Description
Join Societe Generale as a Portfolio Risk Analyst, overseeing credit risk management and governance across financial portfolios. Use your expertise in quantitative analysis and stakeholder engagement to provide key insights.
You will work within the Portfolio Management and Governance team, ensuring effective credit risk metrics and governance frameworks. The role involves comprehensive monitoring of loan quality, presenting detailed reports, and collaborating closely with various departments to manage risk effectively.
Key Responsibilities:
• Analyze portfolio quality through metrics like PD/LGD
• Prepare and present risk committee decks
• Assess cost of risk across loan portfolios
• Manage adherence to regulatory credit reviews
• Design data-oriented risk analysis reports
Requirements:
• Master’s in a quantitative discipline
• Proven experience in credit and counterparty risk
• Strong analytical and project management abilities
• Expertise in Pytho...
You will work within the Portfolio Management and Governance team, ensuring effective credit risk metrics and governance frameworks. The role involves comprehensive monitoring of loan quality, presenting detailed reports, and collaborating closely with various departments to manage risk effectively.
Key Responsibilities:
• Analyze portfolio quality through metrics like PD/LGD
• Prepare and present risk committee decks
• Assess cost of risk across loan portfolios
• Manage adherence to regulatory credit reviews
• Design data-oriented risk analysis reports
Requirements:
• Master’s in a quantitative discipline
• Proven experience in credit and counterparty risk
• Strong analytical and project management abilities
• Expertise in Pytho...
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