Montreal
Hybrid
CAD 80,000 - 110,000
Full time
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Job summary
An established industry player is seeking a Credit Risk Analyst to join their dynamic team in Montreal. This role involves preparing comprehensive credit reviews, analyzing capital markets transactions, and coordinating with various departments to manage credit risk effectively. The ideal candidate will have a strong background in finance or economics, with at least 5 years of experience in credit risk analysis. If you're a self-starter with excellent communication skills and a passion for capital markets, this position offers an exciting opportunity to grow in a collaborative and fast-paced environment.
Qualifications
- 5+ years of experience in capital markets or credit risk analysis.
- Self-starter with strong communication skills.
Responsibilities
- Prepare and present annual credit reviews and new requests to credit committees.
- Analyze capital markets transactions and coordinate credit risk processes.
Skills
Credit Risk Analysis
Capital Markets Knowledge
Communication Skills
Organizational Skills
Team Collaboration
Education
Bachelor's Degree in Finance or Economics
Tools
Microsoft Word
Microsoft Excel
Job Title :-Credit Risk Analyst
Duration: 12 month(s) plus extensions
Location: Hybrid in Montreal QCResponsibilities:- Prepare and present annual credit reviews and new requests to credit committees
- This process includes comprehensive analysis on the counterparty and comparison with its peers, recommendation of rating using internal rating models, and expression of credit opinion.
- Analyze capital markets and corporate banking transactions with regulated funds and agency principals.
- Capital markets: derivatives (swaps, foreign exchange, credit and equity derivatives), repo, securities lending, prime services.
- Corporate banking: import and export trade finance transactions, and syndicated loan participations.
- Coordinate all aspects of the credit risk process in liaison with Coverage, Business, and other Functions.
- Review counterparty credit exposure excesses on financial institutions reported by the Credit Risk Control team.
- Co-ordinate with Legal Department to execute legal documentation by providing credit-sensitive terms.
- Review all legal documentation during annual review, ensuring all necessary documents are in place (including guarantees) and being familiar with the products covered under ISDA/CSA, PSA/ISMA, and SLMA.
- Work closely with Relationship Managers, Traders, Market Risk, Legal and Operations personnel to structure transactions to mitigate diverse forms of risk.
- Support all business lines credit requests / transactions for BNP Paribas' clients.
- Effectively handle multiple tasks and review several files simultaneously through effective prioritization of requests (in conjunction with immediate supervisor) and sound organizational skills.
- Participate to internal exercises to review exposures and ensure data quality for counterparties.
- Keep up to date with industry risks/trends, including credit, regulatory, and legal issues.
Minimum Required Qualifications:- BS/BA required (with finance or economic background preferred).
- 5+ years' experience in capital markets or credit risk analysis
- Self-starter and highly motivated to learn about derivatives and other capital markets products.
- Clear communication skills to firmly and confidently express credit decisions & opinions.
- Ability to organize time and meet deadlines/deliver requests on time.
- Ability to work in a team environment: interacting with other credit analysts, relationship managers, front office and clients.
- Proficiency in Word and Excel.
Preferred Qualifications:- Knowledge in capital markets products and related legal documentation (ISDA, CSA, GMRA...)
- Formal credit training on funds within a financial institution
- MS, MBA, CFA or FRM is a plus
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