My, a global CIB, is looking for a VP level Traded Credit Risk manager to manage the risk of a significant, multi-billion portfolio that spans a diverse range of counterparties, securities and derivatives.
You must have excellent knowledge of fixed-income and derivative products (Bonds, Repos, etc) and their inherent risks.
In addition, you must be able to analyse the creditworthiness of trading counterparties (FI/NBFI) and have a solid understanding of master agreements (ISDA/CSA MRA, GMRA, etc.), collateral, and risk mitigation techniques.
Experience in taking and justifying decisions, ideally with personal discretionary authority.