Why This Role Stands Out
This hybrid role offers a fantastic opportunity to deepen your expertise in credit analysis for financial institutions, with potential for significant career growth within a reputable firm. You'll thrive here if you possess 3-5 years of credit experience, particularly with non-banking financial institutions and an understanding of derivatives, and you're eager to contribute to impactful financial analysis. Apply now to explore this exciting position!
Quick Overview
Job Description
The core purpose of the role is to perform in depth counterparty, industry and portfolio analysis on a number of Banking FI, Funds and Asset Managers.
The successful candidate will have a minimum of 3-5 years recent and relevant credit experience and will ideally have looked at non-banking financial institutions.
Specific experience of covering Banking FIs , Hedge Funds /Asset Managers , Insurance, Specialist Lenders would all be relevant.
Knowledge of Derivatives products and ISDA documentation also preferred.
To find out more please contact me at: sam.harvey@carrlyons.com
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