Hybrid Energy Credit Risk Manager

Macquarie Bank Limited

Houston (TX)

On-site

USD 110,000 - 150,000

Full time

5 days ago
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Benefits offered by this job

Wellbeing leave
25 days annual leave
20 weeks parental leave
Volunteer leave
Insurance coverage
Learning and development opportunities
Hybrid working arrangements

Job summary

Macquarie Bank Limited in Houston invites a credit risk professional to manage a diverse energy portfolio, conducting in-depth quantitative and qualitative assessments, setting internal ratings, and proposing credit limits for transactions across hedging, lending and physical energy trades.

You will collaborate with the front office and risk colleagues, prepare detailed written analyses, participate in the annual portfolio credit review, and contribute to the ongoing risk oversight in a hybrid,

Qualifications

  • 3–5 years in Credit Risk or related roles.
  • Strong foundation in financial analysis and evaluating financial statements.
  • Ability to identify risks in structured transactions.
  • Experience communicating with risk colleagues and front office.
  • Familiarity with energy commodities preferred.

Responsibilities

  • Manage credit risk of a diverse energy portfolio.
  • Conduct in-depth qualitative and quantitative credit assessments.
  • Prepare written analyses and recommendations.
  • Set internal ratings and credit limits.
  • Participate in annual portfolio credit reviews.
  • Collaborate with front office and other stakeholders.

Skills

Credit risk
Financial analysis
Risk assessment
Energy sector knowledge
Stakeholder communication
Quantitative analysis

Job description

Macquarie Bank Limited in Houston invites a credit risk professional to manage a diverse energy portfolio, conducting in-depth quantitative and qualitative assessments, setting internal ratings, and proposing credit limits for transactions across hedging, lending and physical energy trades.

You will collaborate with the front office and risk colleagues, prepare detailed written analyses, participate in the annual portfolio credit review, and contribute to the ongoing risk oversight in a hybrid,

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