APAC Structured Finance Analyst — Credit Risk Underwriting

CFA Institute

Singapore

In loco

SGD 90.000 - 120.000

Tempo pieno

14 giorni+
Generatore di candidature

Una candidatura completa in un minuto — curriculum e lettera di presentazione personalizzati, pronti da inviare.

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Descrizione del lavoro

Chaucer is seeking an APAC Structured Finance Analyst in Singapore to join the Political and Credit Risk underwriting team on a full-time basis. You will analyse complex transactions and support underwriting decisions across corporate credit, financial institutions, project finance, and structured trade, working with underwriters in Singapore and London.

The role involves risk assessment, financial modelling, portfolio monitoring, and contributing to internal tools, with a focus on delivering

Competenze

  • Experience analysing financial transactions for credit underwriting.
  • Strong ability to review financial statements and assess risk across sectors.
  • Knowledge of APAC markets and structured finance preferred.

Mansioni

  • Conduct credit analysis and transaction reviews to support underwriting decisions.
  • Analyze projects across corporate, financial institutions, and trade structures.
  • Prepare forward-looking projections and stress test scenarios.
  • Summarise materials and highlight risks and mitigants for lenders.
  • Help maintain internal rating, pricing and portfolio tools.

Conoscenze

Credit analysis
Financial statements
Underwriting
Risk assessment
Portfolio monitoring
Communication skills
Independent worker

Formazione

Bachelor's degree or equivalent (CFA, FIA, ACII, etc.)

Strumenti

S&P Capital IQ
Bloomberg

Descrizione del lavoro

Chaucer is seeking an APAC Structured Finance Analyst in Singapore to join the Political and Credit Risk underwriting team on a full-time basis. You will analyse complex transactions and support underwriting decisions across corporate credit, financial institutions, project finance, and structured trade, working with underwriters in Singapore and London.

The role involves risk assessment, financial modelling, portfolio monitoring, and contributing to internal tools, with a focus on delivering

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