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Credit Risk Officer (M / F / X)

Manpower Luxembourg S.A.

Ralingen

Vor Ort

EUR 50.000 - 70.000

Vollzeit

Heute
Sei unter den ersten Bewerbenden

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Zusammenfassung

An international financial institution seeks an Interim Credit Risk Officer in Germany to support its Credit Risk & Governance team for a 6-month period. The successful candidate will assess creditworthiness, monitor risks, and contribute to reporting and policy development. Applicants should have an advanced degree in finance and at least one year of experience in credit risk. Advanced Excel skills and English fluency are essential, and knowledge of PowerBI or Python is advantageous. Apply now to join this European Institution.

Qualifikationen

  • Minimum 1 year of relevant experience in credit risk or a related area.
  • Advanced Excel skills; knowledge of PowerBI or Python is a plus.
  • Fluency in English (spoken and written) is essential.

Aufgaben

  • Assess the creditworthiness of financial institutions and other entities.
  • Monitor external indicators and market developments.
  • Support the development of high-level risk policies and procedures.

Kenntnisse

Financial analysis
Credit risk assessment
Report writing
Advanced Excel
Understanding of rating methodologies
Fluency in English

Ausbildung

Advanced degree in economics, finance, risk management, or quantitative studies

Tools

PowerBI
Python
Jobbeschreibung

Our client, an international financial institution, is looking for an Interim Credit Risk Officer to support its Credit Risk & Governance team for a 6-month replacement.

Your missions :
Credit Risk Identification & Control

Assess the creditworthiness of financial institutions, sovereigns, government-related entities, sub-sovereigns, supranationals, and other eligible issuers.

Analyse financial instruments such as covered bonds and government-guaranteed debt.

Provide recommendations on credit limit amounts.

Assign and monitor EAD / settlement limits for derivative counterparties and secured money market transactions.

Identify concentration trends and emerging risks within portfolios.

Contribute to ad-hoc risk management analyses and projects.

Credit Risk Monitoring & Reporting

Monitor external indicators and market developments.

Support the development and maintenance of the internal credit rating surveillance system.

Provide second-line oversight of Middle Office limit monitoring and reporting.

Track credit limits and exposures per issuer.

Prepare regular reporting for internal risk committees and senior management.

Monitor portfolio credit quality (average rating, expected loss, CVaR, Expected Shortfall, etc.).

Produce clear, concise reports, presentations, and statistics for internal and external stakeholders.

Credit Risk Framework & Policies

Support the development of high-level risk policies and procedures.

Contribute to credit risk guidelines and documentation.

Assist in preparing materials for internal and board-level risk committees.

Collaborate with internal departments such as Funding, Treasury, ALM, and Middle / Back Office on credit risk topics.

Candidate Profile : Your profile :

Advanced degree in economics, finance, risk management, or quantitative studies.

Minimum 1 year of relevant experience in credit risk or a related area, ideally within an international or public-sector environment.

Strong knowledge of financial analysis and modelling.

Familiarity with rating methodologies from Fitch, S&P, and Moody’s.

Certifications such as FRM, PRM, or CFA are an advantage.

Advanced Excel skills; knowledge of PowerBI or Python is a plus.

Fluency in English (spoken and written) is essential.

Interested in joining a European Institution? Apply now!

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