Credit Risk Exposure Manager (Associate)

20 Days Old

Join to apply for the Credit Risk Exposure Manager (Associate) role at Nomura22 hours ago Be among the first 25 applicantsJoin to apply for the Credit Risk Exposure Manager (Associate) role at NomuraLocation: LondonCompany overviewNomura is a global financial services group with an integrated network spanning approximately 30 countries and regions. By connecting markets East & West, Nomura services the needs of individuals, institutions, corporates and governments through its three business divisions: Wealth Management, Investment Management, and Wholesale (Global Markets and Investment Banking). Founded in 1925, the firm is built on a tradition of disciplined entrepreneurship, serving clients with creative solutions and considered thought leadership. For further information about Nomura, visit www.nomura.com.Department overview:Nomura’s Credit Risk Exposure Management team is responsible for the quantification, risk management and mitigation of contingent counterparty risks arising from the bank’s financing and derivative portfolios. The team manages collateral and contingent risk across all businesses and asset classes. The team provides IA requirements and quantifies exposure under the bottom up stress loss metric for OTC derivatives and SFT trading with Hedge Funds and other counterparties. The function sits within the Credit Risk department, however, the team works very closely with Front Office and Market risk to ensure that the bank’s exposures to its counterparties are within firm risk appetite.In addition, the team is the responsible owner for the ‘Potential Exposure’ model and advises Credit Risk Management on all metric related matters including the Bottom-up Stress metric.The primary focus will be providing quantitative support to Credit Risk management Team with a primary focus on the Hedge Funds business. Specifically, the responsibilities include:Client pre-trade risk analysis of financing and OTC trades to support approval decisions; this includes providing IA amounts for OTC transactions, haircuts for SFT transactions and calculating impact of new trades on Stress Loss limit utilization for Hedge Funds.Monitor & analyse client portfolios in terms of credit exposures (CE, PE, EE, etc.), risk profiles and margin levels and provide commentary on the drivers for the risk exposure and daily movesParticipate in margin methodology development, enhancement of existing margin models and their documentationManage risks for the firm’s portfolio of collateralized transactions through relevant portfolio analysis using different parameters such as credit risk metrics, VaR, stress & liquidation scenarios, etc. and its reporting.Understand the rules & regulations of various regulatory bodies (such as JFSA, PRA, BaFin &, SEC) applicable for Regulatory Credit Risk Exposure & Capital calculations and ensure its correct implementation for the trade portfolios.Work with various risk managers and other stakeholders to address their requests for additional analysis based on specific needs as they arise.Automate/Simplify/Standardize risk management processes wherever possible to create efficiency and focus on risk analysis & mitigation strategiesList BulletSkills, experience, qualifications and knowledge required:Broad knowledge of a range of asset classes and their derivativesExcellent Presentation and communication skillsAppreciation of client business and motivationsMS Excel to expert levelGood general knowledge & understanding of current macro-economic trendsAbility to work independently, motivated to learn, and drive for successPrevious experience in Prime Brokerage, Market Risk, or a Exposure Management divisionPrevious experience in fixed income derivatives & cash productsFurther Financial Education e.g. CFA, MBA, etc.Understand clients’ needs and issues, and respond with high-quality proposalsAcquire capabilities to perform one’s responsibilities and contribute to being a Trusted PartnerProduce new ideas that might challenge the status-quo or oneselfSeek advice from senior colleagues and utilize it for improved resultsCollaborate with members from relevant departmentsInfluenceContribute to the success of the organization both quantitatively and qualitatively, and act with awareness of the impact on othersServe as role model and provide guidance to junior employeesIntegrityHave a good understanding of corporate philosophy, professional ethics, compliance, risk management, and code of conduct, and make decisions and take actions accordinglyDiversity Statement:Nomura is committed to an employment policy of equal opportunities and is fundamentally opposed to any less favourable treatment accorded to existing or potential members of staff on the grounds of race, creed, colour, nationality, disability, marital status, pregnancy, gender or sexual orientation. If you require any assistance or reasonable adjustments due to a disability or long-term health condition, please do not hesitate to contact us.Right to WorkThe UK Government have taken steps to reduce net migration to the UK by limiting the number of overseas workers from outside the EEA coming to the UK for employment. Please note that whilst we are able to consider applications from overseas workers from outside the EEA (who require a Tier 2 (General) visa) we can only employ them if we can provide evidence that there are no other suitable candidates for this vacancy from inside the EEA.Please contact us if you are visiting our offices and require any form of personal assistance or physical adaptations to be provided for your appointment. A member of staff will be happy to help.Nomura is an Equal Opportunity EmployerSeniority levelSeniority levelAssociateEmployment typeEmployment typeFull-timeJob functionJob functionFinance and SalesIndustriesBanking and Financial ServicesReferrals increase your chances of interviewing at Nomura by 2xSign in to set job alerts for “Credit Risk Manager” roles.London, England, United Kingdom 18 hours agoGreater London, England, United Kingdom 1 week agoLondon, England, United Kingdom 6 days agoCity Of London, England, United Kingdom 3 weeks agoLondon, England, United Kingdom 2 weeks agoLondon, England, United Kingdom 1 month agoLondon, England, United Kingdom 1 week agoCredit Risk Manager, Flex Originations (Credit Cards)London, England, United Kingdom 2 days agoFinancial Institutions Credit Risk ManagerLondon, England, United Kingdom 6 days agoCredit Risk Manager (Credit Risk Strategies and Credit Model Oversight)Greater London, England, United Kingdom 1 week agoGreater London, England, United Kingdom 2 weeks agoSenior Credit Manager, Business BorrowingLondon, England, United Kingdom 1 week agoEmerging Markets Corporate Credit - Senior ManagerLondon, England, United Kingdom 1 week agoLondon, England, United Kingdom 1 day agoLondon, England, United Kingdom 3 weeks agoLondon, England, United Kingdom 1 week agoCounterparty Credit Risk Manager, Vice President, HybridLondon, England, United Kingdom 1 week agoGlobal Head of Credit Risk Management ServicesLondon, England, United Kingdom 1 day agoAssistant Vice President, Credit Manager - CIBLondon, England, United Kingdom 2 weeks agoPrivate Credit Senior Operations ManagerLondon, England, United Kingdom 3 months agoFinance Manager - Private Credit (Part Time)We’re unlocking community knowledge in a new way. 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Location:
London
Job Type:
PartTime

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