Our client is looking for an individual to join their company as the Head of Credit Research. Our client provides investors access to a range of specialist funds and investment opportunities in global markets.
Responsibilities:
Management:
All existing functions performed by the Head of Credit Research. The candidate must take full responsibility for the Credit Research function Propose and oversee credit research strategy and framework for the company's business The successful candidate will be required to manage a team of credit analysts and their submissions to the relevant investment committees and report to governance committees within the company's investments related to Credit risk. Management of all credit exposures throughout the company's portfolios. Responsible for assessment of new transactions where Credit risk is undertaken. Interaction with relevant Legal Advisor to ensure that Legal agreements are concluded for all transactions where credit risk is taken. Management of the company's Credit Committee and the company's Credit Governance Committee to ensure smooth running of the committees. Chairing of the company's Delegated Credit Committee Management of exposure limits, ratings and systems for Credit exposures. Work closely with the Risk department and report directly any breaches in terms of concentrations and risk limits Attendance, input and interaction at relevant forums, committees etc. related to Credit Risk. Ad hoc requests related to credit research function Client Engagement:
Providing key stakeholders with pro-active research insights into trends, market risk appetite, issues, threats, and opportunities in all credit portfolios Be proactive in sharing insights across the company's business and risk cluster in respect of counterparties where Credit exposure is taken. Partnering with business clusters to maintain credit losses, profitability and other credit risk exposures Work in collaboration with the Head of Credit, to ensure alignment in thinking about credit exposures. Asset Class Knowledge:
Provide insight and optimise problem management processes with risk prone investments on the surveillance and watchlist Facilitate the understanding for the suitability of instruments for specific portfolios in accordance with their mandates. Propose strategies for managing identified risks in credit Analysis:
Creation of appropriate credit risk models used for performance monitoring oversight Proactively manage credit risk metrics that are identified via risk dashboards and reporting Implement a credit limit monitoring system with Risk. Qualifications & experience:
A recognised Mcom/MSc Hons degree in finance, investment management and/or mathematics – other qualifications can be considered CA(SA), CFA considered favourable Minimum 10 years relevant experience in an asset management environment and exposure to credit portfolio risk Exposure to credit risk modelling Knowledge of factors affecting national and global companies and their impact on investors Thorough understanding of the investment process and the risks therein Personal attributes
Self-starter Strong people skills needed in order to build trust and confidence within the company's business Prior experience in managing a team of credit analysts and in maintaining a high performing and motivated team Good communication and presentation skills Must conform to the values of the client and the principles by which the company operates Excellent attention to detail and accuracy within expected timelines Advanced excel skills Formal behavioural competencies required:
Analysis And Attention to Detail Monitoring and Measuring Building Strategic Relationships Business Insight and Risk Awareness Judgment and Decision making Commercial and Financial Acumen Influencing and Impact Consulting and Advising Environmental Scanning (In-depth market knowledge)
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