Corporate Credit Analyst/Risk Manager - Milano, Italia - Individua

    Individua
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    Descrizione
    Our client is always looking for smart and passionate people to join company. We are hiring a Corporate Credit Analyst/Risk Manager in its location in Milan.
    About the company Our client is an international, independent provider of financial solutions.

    Specializing in investment and sales financing for various asset classes and industries, it has been supporting its customers in achieving their goals for over 50 years.

    Currently, it has locations worldwide in twelve countries with over 750 employees. It holds a German banking license and is part of a globally leading investment firm.

    Comprehensive market knowledge, international thinking and acting, and a strong service orientation make a strong and reliable partner for its customers.


    Responsibilities:

    Credit Analysis:
    Conduct credit analysis with the goal of supporting growth in terms of investment size and product offerings. Analyze and assess credit risks associated with various asset classes and industries, including but not limited to factoring/stock finance. Provide insights and recommendations on credit decisions to support the company's investment objectives.


    Regulatory Risk Reporting:
    Support regulatory risk reporting activities for both the parent company and service providers. Ensure compliance with regulatory requirements and standards related to credit and risk management. Monitor and analyze the effectiveness of the scoring system, making recommendations for improvements as needed.


    Monitoring and Reporting :
    Monitor credit portfolios and identify potential risks and opportunities. Prepare regular reports and presentations on credit and risk metrics for senior management and stakeholders. Collaborate with cross-functional teams to ensure accurate and timely reporting of credit and risk data.


    Stakeholder Communication:
    Collaborate with internal teams, including finance, legal, and operations, to ensure alignment on credit and risk strategies. Communicate effectively with external stakeholders, including clients, regulators, and auditors, to address inquiries and provide necessary information. Bachelor's degree in Finance, Economics, or related field. Minimum 5 years of experience in credit analysis and risk management within the financial services industry. Strong knowledge of regulatory requirements and standards related to credit risk. Experience with factoring/vendor finance. Excellent analytical, communication, and interpersonal skills. Ability to work independently and as part of a team in a fast-paced environment. · Fluent English and Italian

    What we offer · The opportunity to play an active role in shaping a successful and growing company

    • Flat hierarchies and short decision paths
    • Home office, flexible work schedule
    • Attractive remuneration package (CCNL Credit), Performance bonus
    • Strong training programs aimed to make you successful here
    • Smart working
    • Various social benefits such as capital-formation payments, company pension scheme, company fitness program, Employee Events