Tuesday , September 21 2021

Barclays Employment – Credit Analyst AVP

Website Barclays

Job Description:

As a Barclays Hedge Fund Credit Manager you will be a part of the credit risk management (evaluation of risk/ exposure management) of credit risk within the Hedge Fund and Asset Manager sectors. Our Risk teams protect our financial performance and reputation. Our team members have advanced technical skills across a broad range of disciplines, tackling issues from economic conditions to financial crime. They advise Barclays’ business leaders, helping them make decisions.

Job Responsibilities:

  • Approving utilization of sanctioned limits within discretion and resolve excesses
  • Maintaining data integrity of appropriate Credit Risk systems (e.g. GCIS) and ensure they reflect the approved sanction
  • Maintaining integrity of credit risk function whilst ensuring that the team continues to fully support Front Office relationship and sales staff
  • Provide hands-on support to the team to ensure that appropriate action is taken to mitigate credit risk, where sector difficulties or client specific difficulties are identified
  • Conducting due diligence and write credit papers for new clients, annual reviews
  • Ensuring that the approvals are within the defined limits and mandate and scale set for the sector

Job Requirements:

  • Solid years of experience in the financial industry
  • Excellent product knowledge across derivative and financing products
  • Solid knowledge of capital markets business and clients
  • Exceptional level of interpersonal, verbal and written communication skills, and the ability to clearly articulate complex concepts and ideas
  • Excellent knowledge of ISDA and other relevant master agreement documentation and credit terms
  • Exceptional level of working knowledge of risk metrics including VaR, PFE and stress testing
  • Bachelor’s degree

Job Details:

Company: Barclays

Vacancy Type: Full Time

Job Location: Elizabeth, NJ, US

Application Deadline: N/A

Apply Here