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JobDescription :



The Role:  We are seeking an Associate Director, Risk Solutions to be responsible for executing the successful and timely delivery of client engagements focused on credit risk measurement and management, particularly the development, enhancement and maintenance of internal rating systems for banks and other credit-sensitive institutions. Support for new business development with existing clients and prospects, the development of new service offerings, and thought leadership are also key responsibilities. 


The Impact: The Associate Director, Risk Solutions will be capable of managing and overseeing the most complex or challenging of assignments with minimal supervision. Actively supports the sales process by contributing with analytical expertise and leadership. 


The Career Opportunity: Strong opportunity of professional growth including management of subordinates in the short term Steep learning curve, exposure to different asset classes and close working relationship with senior officials at clients and risk managers. Participation in group-wide initiatives and collaboration beyond GMI, including external partners.


The Team / The Business:  Be part of a talented dynamic team that delivers agile credit risk solutions to 100 clients in EMEA.



Responsibilities 
 

  • Delivers advanced credit risk management analytical services to clients.  Applies regulatory-compliant (if applicable) and industry best practice methodologies for development, and enhancement of internal rating systems Delivers high quality analytical work that meets clients’ needs and expectations.

  • Manages largest projects (over $500,000) with minimal supervision. Responsible for completing engagement on time and budget.  

  • Takes a client-facing role in promoting our competitive advantage to clients and other interested parties through thought leadership activities such as webinars, speaking engagements and publication of trade articles

  • Identifies new opportunities particularly providing input on proposal development, notably the technical approach sections and cost estimations.

  • Contributes to analytical leadership in the maintenance and enhancement of our scorecard offering

  • Keeps abreast of market, industry and regulatory developments that effect existing services offerings and new service offerings.

 
 
Your Skills: 

  • Fluency in English and one other language to suit the markets covered, which would be either French, Italian or Russian, for this requirement.               

  • Proven track record in credit risk analysis (rating agency, financial market, consulting companies working in the credit space) and/or consulting or implementation experience in Basel 2, Solvency 2, or Economic Capital; and/or strong quantitative skills and in particular advanced statistics and/or econometrics are highly desirable   

  • The ability to analyse original, non-routine analytical/business problems (in the Credit Risk Management environment both internal to the organization and client) in a timely and insightful manner.  Ability to translate such problem interpretation into relevant solutions.             

  • Senior Credit Risk analytical knowledge in various Asset Classes [Project Finance, Corporate, Financial Institutions,]

  • Strong quantitative skills and in particular advanced statistics and/or econometrics are highly desirable

  • Robust project management. Ability to prioritize, take initiative and self-manage time, management of internal and external counterparties time, and demonstrated capacity to conduct multiple project planning and management 

  • Demonstrated strong written communications skills and presentation skills in analytical and business development environments as well as excellent interpersonal communications skills.     


S&P Global Market Intelligence

At S&P Global Market Intelligence, we know that not all information is important—some of it is vital. Accurate, deep and insightful. We integrate financial and industry data, research and news into tools that help track performance, generate alpha, identify investment ideas, understand competitive and industry dynamics, perform valuation and assess credit risk. Investment professionals, government agencies, corporations and universities globally can gain the intelligence essential to making business and financial decisions with conviction. S&P Global Market Intelligence is a division of S&P Global (NYSE: SPGI), which provides essential intelligence for individuals, companies and governments to make decisions with confidence. For more information, visit www.spglobal.com/marketintelligence.


At S&P Global, we don’t give you intelligence—we give you essential intelligence. The essential intelligence you need to make decisions with conviction. We’re the world’s foremost provider of credit ratings, benchmarks and analytics in the global capital and commodity markets. Our divisions include S&P Global Ratings, S&P Global Market Intelligence, S&P Dow Jones Indices and S&P Global Platts. For more information, visit www.spglobal.com

Job ID :
227302
Posted On :
5-19-2017
Location :
London, UK
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