![]() Interest in developing knowledge of derivative products and capital markets, including relevant documentation (eg ISDA/CSA, Master Repurchase Agreement etc) is a plus for this role. Macroeconomic and political analysis experience and training is highly preferred along with credit risk analysis skills. ![]() This role might be right for you if you have 4 - 6 years of Risk experience covering Latin America. You will assist in reviewing transactions to ensure that they are well structured, meet appropriate return hurdles, and are within appropriately determined risk appetite. In addition to covering Latin America, you will participate in producing research on global economic trends and formulate risk acceptance recommendations to senior management. You will be involved in real-time, ongoing, and self-initiated monitoring of regional, country, counterparty, and industry developments. You will help to identify, measure, and manage country and counterparty risk – a task critical to our business. Your day-to-day responsibilities will include evaluating the risks of transacting in various countries, including sovereign, political, economic, transfer and convertibility, and legal risks. You’ll be empowered to identify and manage emerging risks in a rapidly evolving risk landscape. This is an opportunity to build a deep understanding of our unique business. You’ll champion our strong risk culture throughout the Latin America region in this new role. Gain valuable expertise working in the risk function of our global financial institution operating in 33 markets. ![]()
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