Credit Risk Senior analyst / Manager
30 Sep 2024İş barədə məlumat
Job Description:
- Calculation and analysis of provisions based on IFRS 9 standards (PD, LGD, Forward-looking)
- Collection and cleaning of data and developing/updating different rating and scoring models
- Identifying stress scenarios, conducting stress test analysis, and suggesting the application of stress testing results to capital reserves allocation
- Investigating and applying different approaches to measuring market risks (e.g., Value at Risk)
- Assessing and measuring various risks, including credit risk, market risk, liquidity risk, capital risk, and asset/liability management
- Analyzing new bank products, limits, and services for exposure to credit risks and making proposals for risk minimization and management
Requirements:
- Bachelor’s degree in finance, economics, or a related field
- 3-4 years of experience in credit risk or other financial risk functions
- Skills in SQL, Python, or R
- Ability to prepare and present analysis for different purposes
- Knowledge of statistics and econometrics is an advantage
- Proficiency in Azerbaijani and English languages